Associate Director - Practice Leader Treasury & Liquidity, Global Research & Risk Solutions (Maharashtra)

Associate Director - Practice Leader Treasury & Liquidity, Global Research & Risk Solutions (Maharashtra)

03 Aug
|
RiverForest Connections
|
Maharashtra

03 Aug

RiverForest Connections

Maharashtra

Role Summary We are seeking an experienced Treasury Liquidity Practice Leader with deep first-line experience in managing treasury and liquidity operations for banks or financial institutions The ideal candidate will have hands-on expertise in running treasury functions including cash and collateral management funding ALM FTP and regulatory liquidity reporting - and will lead initiatives to build and scale high-performing delivery teams replicating such functions for global clients This leader will bring a strong understanding of front-to-back treasury processes balance sheet management and regulatory requirements while driving operational efficiency and transformation across treasury and liquidity domains Key responsibilities Leadership Business Growth Lead the Treasury Liquidity operations practice leveraging first-line experience to strengthen delivery quality and domain depth Partner with senior stakeholders Treasurers CFOs and CROs to identify opportunities in operational efficiency control improvement and digital transformation Define strategic focus areas and offerings including liquidity operations support intraday funding regulatory reporting and ALM process optimization Oversee P L management resource planning and delivery governance for the practice Support proposal and solution development bringing a practitioner s perspective to client pitches and engagements Treasury Liquidity Operations Delivery Oversee teams managing core treasury operations including funding liquidity and capital allocation processes Direct cash flow forecasting balance sheet planning FTP execution and collateral optimization Ensure regulatory reporting accuracy LCR NSFR IRRBB PRA 110 FR2052a ALMM and alignment with internal liquidity management frameworks Manage intraday liquidity and cash concentration activities to support trading settlement and funding obligations Support transformation and automation initiatives across Treasury systems QRM Murex Moody s RAY Calypso Kyriba etc to enhance process efficiency Drive collaboration across Finance Risk and Markets teams to ensure a unified view of liquidity and capital management Capability Building Operational Excellence Build lead and mentor Treasury and Liquidity operations teams ensuring depth across process controls and regulatory knowledge Develop standard operating procedures playbooks and process maps replicating first-line treasury best practices Skills 12 years of Treasury or Liquidity Management experience preferably in first-line roles within banks or large financial institutions Proven expertise in funding operations ALM liquidity planning and cash flow forecasting Solid understanding of Treasury systems and infrastructure QRM Murex Moody s RAY Calypso Wallstreet Suite or Kyriba Hands-on exposure to regulatory and internal liquidity reporting LCR NSFR ALMM PRA 110 FR2052a Familiarity with funds transfer pricing FTP balance sheet optimization and capital allocation frameworks Experience managing intraday liquidity Nostro Vostro funding and collateral processes Demonstrated ability to set up and scale treasury delivery functions combining process discipline with operational agility Excellent stakeholder management and communication skills especially with Treasury Finance and Risk leadership

📌 Associate Director - Practice Leader Treasury & Liquidity, Global Research & Risk Solutions (Maharashtra)
🏢 RiverForest Connections
📍 Maharashtra

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