23 Sep
|
Hays
|
Melbourne
TreasuryManager - Treasury Middle Office
About the RoleThis role is critical in supporting the Bank's balance sheet, capital and funding strategy, ensuring robust risk reporting, regulatory submissions, and treasury modelling infrastructure as the organisation continues to scale and strengthen its position as a Significant Financial Institution (SFI).You will lead the Treasury Middle Office team responsible for treasury models, systems, securitisation oversight, and reporting frameworks across liquidity, capital, funding and interest rate risk (IRRBB).
Responsibilities
Lead delivery of treasury risk reporting and analytics across liquidity, capital, IRRBB and funding
Oversee APRA regulatory reporting (APS 210, APS 117 and related prudential frameworks)
Drive uplift of reporting frameworks aligned to evolving SFI requirements
Provide leadership in uplifting risk maturity, controls and culture
Manage investor reporting, RBA reporting and funding program requirements
Lead, coach and develop a team of treasury analysts
Required Experience
Robust experience in Treasury middle office function, balance sheet management or financial risk within a bank (ADI)
Experience with APRA regulatory reporting frameworks
Hands-on exposure to ALM / treasury systems (e.g. QRM or similar)
Proven experience leading analytics, reporting or modelling teams
Experience in leading a team.
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📌 Manager - Treasury Middle Office (Melbourne)
🏢 Hays
📍 Melbourne