We are working with a leading international financial institution looking to hire a senior professional into its Treasury function, focusing on capital planning and management across European entities.
The role sits within a central finance team responsible for capital and balance sheet oversight, working closely with stakeholders across risk, finance, and business units.
Key Responsibilities
* Support and enhance the Internal Capital Adequacy Assessment Process (ICAAP) for European entities
* Contribute to capital planning, forecasting, and balance sheet management activities
* Assist in capital optimisation initiatives, including entity-level structuring and resource allocation
* Prepare analysis and materials for internal governance committees and senior stakeholders
* Partner with teams across Finance, Risk, and other control functions
* Support strategic treasury initiatives such as capital movements and structural changes
* Identify and implement improvements to processes, reporting, and analytical frameworks
* Respond to internal and regulatory information requests
Candidate Profile
* Experience within treasury, capital planning, or balance sheet management in a financial institution
* Good understanding of regulatory frameworks, including ICAAP and broader capital requirements
* Strong analytical skill set, with the ability to interpret and communicate complex topics clearly
* Comfortable operating in a cross-functional, international environment
* Solid Excel and PowerPoint capabilities
* Experience contributing to projects or change initiatives is beneficial