Cfo-treasury - Treasury Portfolio Management

15 hours ago


Singapore Deutsche Bank Full time

**Details of the Division and Team**:
Treasury is part of the Finance division with the Group Treasurer reporting to the Group CFO. The function is responsible for the sourcing, management and optimisation of liquidity and capital to deliver high-value risk management decisions. This is underpinned by a best-in-class risk framework that enables Treasury to identify the Bank’s resource demands, set incentives by allocating resource costs to businesses and manage to evolving regulation.

Treasury’s mandate, which encompasses the Bank’s funding strategy, Asset and Liability management (ALM) and management of liquidity reserves, supports businesses in delivering on their strategic targets at global and local level. Treasury manages the optimization of all financial resources to implement the group’s strategic objective and maximize long-term return on shareholders’ equity. The Group Treasurer is based in London and the Treasury function operates across the globe with major hubs in Frankfurt, London, Singapore and New York.

**What we will offer you**:
A healthy, engaged and well-supported workforce is better equipped to do their best work and, more importantly, enjoy their lives inside and outside the workplace. That’s why we are committed to providing an environment with your development and wellbeing at its center.

**You can expect**:

- Flexible benefits plan including virtual doctor consultation services
- Comprehensive leave benefits
- Gender Neutral Parental Leave
- Flexible working arrangements
- 25 days of annual paid leave, plus public holiday and flexible working arrangements

**Your key responsibilities**:
**Key Responsibilities**:

- Devising strategies and tactical measures to optimise funding, including management of the liquidity pool and associated risks. Where relevant, they may develop and execute risk management strategies and manage risks within authorised limits.
- Managing the Bank’s daily liquidity pool funding and cash management in line with the risk appetite (e.g. market, credit and liquidity risk limits) via external unsecured funding, inter-branch funding, central bank open market operations and daily central bank placement
- Where applicable, issuing and raising unsecured, stress-compliant liquidity via external market / clients (communication, coordination with Sales)
- Managing collateral and statutory reserve portfolios (e.g., held as T-bills, bonds, central bank cash etc)
- Managing mismatches in term profile of assets and liabilities in the local liquidity pool, including hedging interest rate risk in pool and collateral portfolio, in accordance with Treasury governing principles for transfer pricing and liquidity risk
- Liaising with and communicating transfer pricing methodologies and transaction specific funding charges to businesses, taking account of local specifics vs. global
- Knowledge of stress testing methodologies, and scenario analysis, calculation of adjustments/reserves, for the effective management of capital and liquidity positions, in line with the bank’s policies and regulatory requirements.
- Understanding of key Capital and Liquidity regulations (Liquidity Stress Testing, LCR, NSFR, SLS, CFP) impacting banks
- Knowledge of management of risk in the banking book through various hedging instruments with a focus on minimisation of Treasury RWA and CRD4 (while maximising NII).
- Assisting businesses in achieving their objectives within the Bank’s risk management framework

**Your skills and experience**:

- 7+ years of relevant experience in a Treasury trading or Global Markets trading / risk management experience.
- Demonstrate strong understanding of Financial Markets & Treasury products and systems (covering bonds, FX, cash and derivatives products) to manage the bank’s overall liquidity position, regulatory environment which bank treasury operates under
- Experience in managing money market & derivatives products, covering local currencies and/or key global currencies
- Possess a strong control mind-set and ability to risk manage across multiple currencies and products
- Ability to meet the challenges presented by a fast paced, constantly changing work environment
- Role is required to be performed on-site at One Raffles Quay office. Relevant vaccination requirement applies.**How we’ll support you**:

- _Flexible working to assist you balance your personal priorities- _Coaching and support from experts in your team- _A culture of continuous learning to aid progression- _A range of flexible benefits that you can tailor to suit your needs- _Training and development to help you excel in your career**About us and our teams**:
Deutsche Bank is the leading German bank with strong European roots and a global network. click here to see what we do.

**Deutsche Bank & Diversity**

Our values define the working environment we strive to create - diverse, supportive and welcoming of different views. We embrace a culture reflecting a variety of pers



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