Description
Trust is hiring a Treasury & Balance Sheet Management Lead to report to the Head of Treasury and lead the bank’s treasury function. The role covers liquidity and funding strategy, cash and intraday liquidity management, regulatory liquidity metrics, funding execution, balance sheet optimization, ALM, ICAAP and stress testing, interest-rate and capital risk, regulatory reporting, treasury operations, systems, and stakeholder management. The ideal candidate has more than 10 years of bank treasury experience across front, middle, and back offices, strong knowledge of MAS regulatory frameworks, and familiarity with liquidity management, ALM, funding strategy, treasury operations, FTP, balance sheet analytics, and treasury systems.
