
Treasury Capital Professionals
TD Newton
About this job
Are you a seasoned finance professional with a passion for banking treasury and capital management? We are seeking experienced Treasury Capital Professionals to join a leading global banking organization. This pivotal role is perfect for individuals with a robust background in capital planning, balance sheet management, and regulatory frameworks within the dynamic financial services sector. You will play a crucial role in managing the bank's capital, ensuring compliance, and contributing to strategic financial decisions.
We are looking for individuals who thrive in a challenging environment and are eager to apply their expertise in Treasury Capital to contribute to the financial health and stability of a reputable institution. Join us in Bangalore or Chennai and leverage your skills in a role that offers significant impact and professional growth within the banking domain.
Key Responsibilities
- Lead and contribute to the capital planning, forecasting, and reporting processes, ensuring accuracy and compliance with internal and external regulations.
- Manage and optimize the bank's balance sheet through effective Asset Liability Management (ALM) strategies.
- Develop and implement robust ICAAP (Internal Capital Adequacy Assessment Process) frameworks and ensure their ongoing effectiveness.
- Provide expert insights and analysis on regulatory capital frameworks and banking regulations to senior management.
- Collaborate with various stakeholders across finance, risk, and business units to integrate capital management strategies.
- Identify and mitigate risks related to capital and liquidity, ensuring the bank's financial resilience.
- Prepare comprehensive reports and presentations on treasury capital activities for various internal and external stakeholders.
Requirements
- Minimum of 6 years of progressive experience in Treasury Capital, Capital Planning, Capital Forecasting, or Capital Reporting.
- Strong hands-on exposure to ICAAP, Balance Sheet Management (BSM), and Asset Liability Management (ALM).
- Proven experience within Finance or Risk functions of a reputable Banking or Financial Services organization.
- In-depth understanding of global and local regulatory capital frameworks and general banking regulations.
- An MBA in Finance, Economics, or other Quantitative disciplines from a well-regarded institution is required.
- Chartered Accountant (CA) qualification is highly preferred, demonstrating a strong foundation in financial principles.
- Professional certifications such as FRM (Financial Risk Manager), PRM (Professional Risk Manager), or CFA (Chartered Financial Analyst) are a significant advantage.
What We Offer
- An opportunity to work with a leading global banking organization, providing a platform for unparalleled career growth.
- Engage in challenging and impactful work that directly influences the bank's financial strategy and regulatory compliance.
- A collaborative and supportive work environment that fosters continuous learning and professional development.
- Exposure to complex global financial markets and advanced treasury practices.
- Competitive compensation and benefits package commensurate with industry standards and your experience.
Eligibility
Professionals • 6-6 years of experience