01 Zakres zadań
Responsibilities:
- Own product strategy and roadmap for deposit and liquidity concentration services across the UK and Europe.
- Optimize balance sheet performance with Treasury, Finance and Market Risk, including deposit mix, duration, funding costs, LCR and NSFR.
- Govern portfolio pricing, deal reviews and approval processes.
- Drive commercialization, revenue growth, deposit acquisition and market-share expansion.
- Advise corporate treasury clients during negotiations, RFPs and strategic engagements.
- Lead product controls and approvals in line with PRA, FCA, deposit protection and tax requirements.
- Use analytics and reporting to benchmark portfolio performance and identify rationalization opportunities.
- Partner with Operations and Technology on scalable real-time liquidity capabilities.
What we offer:
- P&L ownership of a revenue-generating UK and European balance-sheet portfolio.
- Exposure to senior leaders across Treasury, Finance, Sales and Operations.
- Hybrid work model with 3 office days and 2 remote days per week.
- Professional network spanning stakeholders in more than 50 countries.
