Manager - Group Treasury

Competitive salary
16 Sep 2020
17 Sep 2020
Job role
Experience level
In this role, you'll be responsible for elements of the Group's funding and capital projections process and reviewing funded balance sheet and related disclosures. You'll also be responsible for liquidity reporting and analysis, funds transfer pricing charge reviews, coordinating the new product approval process and hedging related to the interest rate risk and FX risk of the Group's capital.

You'll also conduct peer bank analysis, and partner with the treasury finance team on key projects and initiatives, documenting the processes with a view to retain knowledge and ensure continuity.

You will be supported by a team of individuals, with some leadership responsibilities.

The team is largely focused on building capital, funding and liquidity strategies for the banking group and performing regular and ad-hoc reporting to the CFO. The team advises senior management on balance sheet capacity, cost, risk and return and is also responsible for developing incentives (for example through transfer pricing and capital charging) and supporting the CFO on strategic issues. It is also responsible for supporting the Asset & Liability Committee.

To be successful in the is role, you'll have outstanding academic background (CA or MBA) with 6-9 years of relevant experience. You'll have a sound knowledge of Treasury balance sheet reporting, capital and funding projections, interest rate and FX reporting, policy and management, liquidity and funds transfer pricing, peer bank analysis and regulatory capital frameworks.

You'll also possess excellent communication skills with demonstrated ability to motivate, influence and gain commitment at all levels of the organisation. You'll be able to define and document processes, and capture process/system/data requirements as well as be a self-starter who can work well both independently with minimal supervision and as part of a team.

If this sounds like the right opportunity to further your career, apply online now.

About the Financial Management Group

The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie's businesses and senior management, managing Macquarie's funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie's corporate affairs.

Our commitment to Diversity and Inclusion

Macquarie understands the importance of diversity and inclusion - our long history of success has come from being different. At Macquarie we value the innovation and creativity that diversity of thought brings. The one thing we all have in common is our focus on high performance. If you're capable, motivated and can deliver, we want you on our team.

We recognise that flexibility comes in a variety of forms. Talk to us about what flexibility you need.

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