We are seeking an experienced Senior Manager – Treasury Finance & Control to lead finance oversight, control, and reporting activities across Treasury within a wholesale banking environment. The role will be responsible for ensuring accurate financial results, strong control frameworks, regulatory compliance, and effective finance partnership with Treasury stakeholders.
This position plays a key role in independently validating Treasury performance, strengthening accounting and valuation controls, and supporting senior management with high‑quality financial insight.
Key Responsibilities
Treasury Finance Control & Oversight
- Lead the finance control agenda for Treasury products, ensuring robust end‑to‑end accounting, valuation, and reporting controls
- Strengthen governance over Treasury general ledger accounts, processes, and balance sheet integrity
- Ensure Treasury financials are accurate, timely, and compliant with internal policies and external standards
Treasury P&L & Performance Analysis
- Oversee the independent verification and reporting of Treasury profit and loss
- Perform detailed P&L attribution and variance analysis, including actuals versus forecasts and estimates
- Provide clear explanations of performance drivers to senior stakeholders
Accounting, Reconciliations & Close
- Manage daily and monthly reconciliations for Treasury balance sheet and off‑balance‑sheet exposures, including FX activity
- Ensure reconciliation breaks are investigated, resolved, and appropriately escalated
- Maintain high standards of substantiation and audit readiness
IFRS, Valuation & Regulatory Reporting
- Ensure Treasury products are accounted for in line with IFRS and regulatory requirements
- Support financial statement disclosures and regulatory reporting related to Treasury activities
- Oversee valuation controls for securities, derivatives, and other Treasury instruments, including MTM processes
Hedge Accounting & Risk Frameworks
- Lead the implementation and ongoing oversight of hedge accounting frameworks in line with IFRS and internal policies
- Support interest rate risk behaviouralisation models and ensure alignment with approved policies
- Monitor market data controls and valuation methodologies, particularly where observable pricing is limited
Treasury Products & Market Exposure
- Oversee finance control and valuation monitoring across a broad range of Treasury instruments including FX, derivatives, swaps, options, forwards, and securities
- Track and analyse market risk exposure and support accurate investment position reporting
-
Are you interested in this position?
Apply by clicking on the “Apply Now” button below!
#AlbionarcJobs#FintechJobs
#AsiaJobs#MiddleEastCareers
#TechTalent#FintechRecruitment
#FinanceOpportunities#
