Current jobs related to Senior Manager, Balance Sheet and Liquidity Buffer - London, Greater London - TSB Bank plc


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerFunction: Balance Sheet Management, TreasuryLocation: Hybrid WorkingSalary: Competitive plus excellent benefitsAbout the RoleThe Balance Sheet and Liquidity Buffer Senior Manager is responsible for working with the Balance Sheet Management (BSM) team to measure and externalise interest rate risk....


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerAt TSB Bank plc, we're seeking a highly skilled Senior Manager to join our Treasury team. As a key member of our Balance Sheet Management (BSM) team, you will play a critical role in managing interest rate risk and ensuring the effective use of our Liquid Asset Buffer.Key Responsibilities:Support...


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerAt TSB Bank plc, we're seeking a highly skilled Senior Manager to join our Treasury team. As a key member of our Balance Sheet Management (BSM) team, you will play a critical role in managing interest rate risk and ensuring the effective use of our Liquid Asset Buffer.Key Responsibilities:Support...


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerFunction: Balance Sheet Management, TreasuryLocation: Hybrid WorkingSalary: Competitive plus excellent benefitsClosing Date: Not SpecifiedAt TSB, we strive to give our customers and communities money confidence. Our team is dedicated to delivering a real difference in careers, business, and the...


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerAt TSB Bank plc, we're seeking a highly skilled Senior Manager to join our Treasury team. As a key member of our Balance Sheet Management (BSM) team, you will play a critical role in hedging interest rate risk and managing the Liquid Asset Buffer.Key Responsibilities:Support the Head of Team in...


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerAt TSB Bank plc, we're seeking a highly skilled Senior Manager to join our Treasury team. As a key member of our Balance Sheet Management (BSM) team, you will play a critical role in hedging interest rate risk and managing the Liquid Asset Buffer.Key Responsibilities:Support the Head of Team in...


  • London, Greater London, United Kingdom TSB Bank plc Full time

    Job Title: Balance Sheet and Liquidity Buffer Senior ManagerRole OverviewThe Balance Sheet and Liquidity Buffer Senior Manager plays a crucial role in the Treasury team at TSB Bank plc. Reporting to the Head of Team, this position is responsible for working with the Balance Sheet Management (BSM) team to measure and externalize interest rate risk. Key...


  • London, Greater London, United Kingdom Goldman Sachs Bank AG Full time

    Job Title: Senior Liquidity Portfolio ManagerCorporate Transaction banking is seeking a Senior Liquidity Portfolio Manager to lead the development and implementation of liquidity strategies that drive portfolio growth while prudently and effectively managing funding risk.The ideal candidate will have experience in banking and financial markets, with a strong...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Job Title: Senior Liquidity Risk ManagerEmpirical Search Limited is seeking a highly skilled Senior Liquidity Risk Manager to join our team. As a key member of our risk management team, you will be responsible for providing independent risk oversight of liquidity risk management and measurement, and participating in and supporting Risk and Global Treasury...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Job Title: Senior Liquidity Risk ManagerEmpirical Search Limited is seeking a highly skilled Senior Liquidity Risk Manager to join our team. As a key member of our risk management team, you will be responsible for providing independent risk oversight of liquidity risk management and measurement, and participating in and supporting Risk and Global Treasury...


  • London, Greater London, United Kingdom BNY Mellon Full time

    BNY Mellon is seeking a skilled Treasury Dealer, Senior Vice President to join its Corporate Treasury team in London. The successful candidate will be responsible for managing the balance sheet and liquidity across the BNY Mellon banking and broker dealer entities. Key responsibilities include deploying liquidity in suitable instruments, optimizing revenues,...


  • London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Job Summary:Citi is seeking a highly skilled Senior Liquidity Manager to join our Corporate Treasury team in the UK. As a key member of the team, you will be responsible for driving liquidity and funding forecasting, balance sheet management, and regulatory deliverables for our UK Broker-Dealer.Key Responsibilities:Lead liquidity and funding forecasting for...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Empirical Search Limited has been mandated to find a highly skilled professional to provide interim leadership to the Balance Sheet Management team for a period of at least 12 months. The ideal candidate will be responsible for leading the team and managing the bank's front office execution, including booking derivatives recommended by the ALM team. The bank...


  • London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Role Description:The Senior Liquidity Manager is a key role within the Corporate Treasury Team at Citibank, N.A. United Kingdom. This position is responsible for leading the development and implementation of liquidity management strategies for the UK Broker-Dealer business. The successful candidate will have a strong background in Treasury function and...


  • London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Job Summary:Citi is seeking a highly skilled Senior Liquidity Manager to join our Corporate Treasury team in the UK. As a key member of the team, you will be responsible for driving liquidity and funding forecasting, balance sheet management, and regulatory deliverables for our UK Broker-Dealer.Key Responsibilities:Lead liquidity and funding forecasting for...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Empirical Search Limited is seeking a highly skilled Liquidity Manager to join their EMEA Treasury function. The ideal candidate will have a strong understanding of global markets and risk profiles, as well as experience working with trading desks and financial analysis tools.Key Responsibilities:Provide transparency into business drivers of liquidity...


  • London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Role Overview:This position will join the Citi Treasury Investments (CTI) Governance and Business Initiatives team within the Finance Organisation.As a Senior Project Manager, you will be responsible for managing the execution of CTI's initiatives that focus on balance sheet management, FX and interest rate risk management, funding, and liquidity...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Empirical Search Limited is seeking a highly skilled Senior Liquidity Risk Specialist to join their team in London. This role will involve providing independent risk oversight of liquidity risk management and measurement, and participating in Risk and Global treasury transformation programmes with regard to liquidity management.Key ResponsibilitiesDevelop...

  • Senior Project Manager

    2 months ago


    London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Role Introduction / Overview:This position will join the Citi Treasury Investments (CTI) Governance and Business Initiatives team within the Finance Organisation.Senior Project Manager role would be responsible for managing the execution of CTI's initiatives that focuses on balance sheet management, FX and interest rate risk management, funding, and...

  • Senior Project Manager

    2 months ago


    London, Greater London, United Kingdom 11037 Citibank, N.A. United Kingdom Full time

    Role Introduction / Overview:This position will join the Citi Treasury Investments (CTI) Governance and Business Initiatives team within the Finance Organisation.Senior Project Manager role would be responsible for managing the execution of CTI's initiatives that focuses on balance sheet management, FX and interest rate risk management, funding, and...

Senior Manager, Balance Sheet and Liquidity Buffer

2 months ago


London, Greater London, United Kingdom TSB Bank plc Full time
Job Title: Balance Sheet and Liquidity Buffer Senior Manager

At TSB Bank plc, we're seeking a highly skilled Senior Manager to join our Treasury team. As a key member of our Balance Sheet Management (BSM) team, you will play a critical role in managing interest rate risk and ensuring the effective use of our Liquid Asset Buffer.

Key Responsibilities:
  • Collaborate with the BSM team to measure and externalise interest rate risk, ensuring alignment with risk appetite, limits, and policy.
  • Highlight material risks, develop opportunities, and strategies to add value, and protect earnings reflecting interest rate outlooks.
  • Prepare and deliver strategy and other communications to key stakeholders, including Treasury management, ALCo, and other Committees.
  • Support the Head of Team in structuring tailored hedging and funding solutions.
  • Support and cover the Head of Team as required to a suitable standard.
Requirements:
  • Excellent understanding of macro-economics and drivers of balance sheet performance.
  • Good working knowledge of Wholesale, Retail, and Commercial Banking products, preferably in a Treasury environment, and experience of the analysis and investment of rate insensitive balances.
  • Strong modelling skills, and exposure to ALM simulation packages, such as Focus or QRM.
  • Excellent problem-solving skills, able to produce options at short notice based on rapidly changing scenarios.
  • Experience of structured derivatives and funding solutions.
  • Strong awareness of regulatory developments and the ability to identify the impact of developments on the BSM team activities.
What We Offer:
  • Hybrid and flexible working arrangements to support a healthy work/life balance.
  • An attractive reward and benefits package through myTSB, giving you more of what matters to you.
  • A diverse, energising, and collaborative working environment.
  • A career that's enriching and full of opportunities.

We are TSB Bank plc. Life Made More. Inclusion matters at TSB. We want our colleagues to feel at home here, no matter their background. Diverse teams are what helps us deliver Money Confidence. For everyone. Every day.