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Manager, Treasury Risk - Liquidity (fixed term 12 mc)

ExperiencedNo visa sponsorship

Posted 14 days ago

No clicks

**Job Title:** Manager, Treasury Risk - Liquidity (fixed term 12 mc) **Key Responsibilities:** 1. **Risk Controlling:** Lead the 2LoD function, supporting the Lead - Treasury Risk - Liquidity, performing risk advisory, review, and challenge roles across Treasury Risk, including Liquidity Risk, Funding Risk, IRRBB, and CSRBB. 2. **Methodologies:** Own and enhance IRRBB methodologies, ensuring they remain fit for purpose and aligned with regulatory expectations. Review and approve monthly IRRBB reporting. 3. **Model Sponsorship:** Partner with Treasury, Finance, and Model Development teams as the 2LoD model sponsor for IRRBB models, ensuring compliance with model risk management standards. 4. **Balance Sheet Strategies:** Review and challenge key balance sheet strategies, such as liquidity, funding, hedging activities, and treasury investment allocations. 5. **ILAAP Process:** Play a leading role in the Internal Liquidity Adequacy Assessment Process (ILAAP), focusing on liquidity stress testing, scenario design, and regulatory compliance. 6. **Regulatory Metrics:** Monitor and assess regulatory metrics, including LCR, NSFR, EVE, and NII, ensuring robust governance of methodologies, assumptions, and risk reporting. 7. **Emerging Risks:** Identify emerging risks, regulatory developments, and material risk drivers, recommending actions to strengthen the bank's risk management framework. 8. **Risk Appetite Statements:** Support the development of Risk Appetite Statements, Early Warning Indicators, and Risk Inventory assessments for Treasury Risk. 9. **Relationship Building:** Build strong relationships across the business,

Compensation
Not specified

Currency: Not specified

City
Warsaw
Country
Not specified

Full Job Description

Manager, Treasury Risk - Liquidity (fixed term 12 mc)

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Job Details

Manager, Treasury Risk - Liquidity (fixed term 12 mc)
Job Description
Apply now
Requisition Number:  62260
Job Location:  Warszawa, POL
Global Grade:  Band 6
Work Type:  Home Working
Employment Type:  Fixed Term Worker
Posting Start Date:  14/09/2026
Posting End Date:  31/10/2026
Job Description: 

Job Summary

Manager, Treasury Risk Liquidity acts as the 2LoD (Risk Controlling) function and supports the Lead Treasury Risk - Liquidity to perform risk advisory, review and challenge and risk oversight role across Treasury Risk, including but not limited to Liquidity Risk, Funding Risk, Interest Rate Risk in the Banking Book (IRRBB), Credit Spread Risk in the Banking Book (CSRBB), Recovery & Resolution, and Intragroup Credit providing recommendations to key Committees and Senior Management, where relevant.

Key Responsibilities

  • Lead the independent oversight and challenge of Treasury activities, helping to protect the bank's balance sheet across liquidity, funding, IRRBB and CSRBB risks.
  • Own and continuously enhance IRRBB methodologies, including Economic Value of Equity (EVE) and Net Interest Income (NII) frameworks, ensuring they remain fit for purpose and aligned with regulatory expectations.
  • Review, challenge and approve monthly IRRBB reporting, providing meaningful risk insights and recommendations to senior management and governance committees.
  • Partner with Treasury, Finance and Model Development teams as the Second Line of Defence (2LoD) model sponsor for IRRBB models, ensuring compliance with model risk management standards.
  • Review and challenge key balance sheet strategies, including liquidity, funding, hedging activities and treasury investment allocations.
  • Play a leading role in the Internal Liquidity Adequacy Assessment Process (ILAAP), with a particular focus on liquidity stress testing, scenario design and regulatory compliance.
  • Monitor and assess regulatory metrics, including LCR, NSFR, EVE and NII, ensuring robust governance of methodologies, assumptions and risk reporting.
  • Identify emerging risks, regulatory developments and material risk drivers, recommending actions to strengthen the bank's risk management framework.
  • Support the development of Risk Appetite Statements, Early Warning Indicators and Risk Inventory assessments for Treasury Risk.
  • Build strong relationships across the business, regulators and governance committees, providing expert advice and influencing key strategic decisions related to balance sheet and treasury risk management.

Skills and Experience

  • 5 years of experience in liquidity and funding management within a banking or financial services environment.
  • Strong understanding of Interest Rate Risk in the Banking Book (IRRBB) and balance sheet risk management.
  • Knowledge of Credit Spread Risk in the Banking Book (CSRBB).
  • Exposure to treasury activities and financial resource management.
  • Experience supporting balance sheet optimization and strategic planning.
  • Understanding of ILAAP processes, including liquidity stress testing and regulatory requirements.
  • Excellent verbal and written communication skills, with the ability to present complex topics clearly to a range of stakeholders
  • Education Minimum Degree from An Accredited University and Professional Qualifications (MBA, CPA Etc.)
  • Training: Banking Regulatory Framework, Substantial Experience in the Banking Industry or Consultancy with Specific Expertise in Treasury Activities and Risk Management, Strong Experience in Treasury Markets, Treasury Liquidity, IRRBB And CSRBB
  • Certifications:  Treasury And Balance Sheet Management (Preferred but Not Mandatory)
  • Languages: Business Proficiency in English (Verbal & Written) & German (Not Mandatory) 

 

About Standard Chartered

We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you're looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can't wait to see the talents you can bring us.

Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you'll see how we value difference and advocate inclusion.

Together we:

  • Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do
  • Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well
  • Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term

What we offer

In line with our Fair Pay Charter, we offer a competitive salary and benefits to support your mental, physical, financial and social wellbeing.

  • Core bank funding for retirement savings, medical and life insurance, with flexible and voluntary benefits available in some locations.
  • Flexible working options based around home and office locations, with flexible working patterns.
  • Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and all sorts of self-help toolkits
  • A continuous learning culture to support your growth, with opportunities to reskill and upskill and access to physical, virtual and digital learning.
  • Being part of an inclusive and values driven organisation, one that embraces and celebrates our unique diversity, across our teams, business functions and geographies - everyone feels respected and can realise their full potential.
Apply now
Information at a Glance

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Manager, Treasury Risk - Liquidity (fixed term 12 mc)

Compensation

Not specified

City: Warsaw

Country: Not specified

Standard Chartered Corporate & Investment Banking logo
Investment Banking

14 days ago

No clicks

at Standard Chartered Corporate & Investment Banking

ExperiencedNo visa sponsorship

**Job Title:** Manager, Treasury Risk - Liquidity (fixed term 12 mc) **Key Responsibilities:** 1. **Risk Controlling:** Lead the 2LoD function, supporting the Lead - Treasury Risk - Liquidity, performing risk advisory, review, and challenge roles across Treasury Risk, including Liquidity Risk, Funding Risk, IRRBB, and CSRBB. 2. **Methodologies:** Own and enhance IRRBB methodologies, ensuring they remain fit for purpose and aligned with regulatory expectations. Review and approve monthly IRRBB reporting. 3. **Model Sponsorship:** Partner with Treasury, Finance, and Model Development teams as the 2LoD model sponsor for IRRBB models, ensuring compliance with model risk management standards. 4. **Balance Sheet Strategies:** Review and challenge key balance sheet strategies, such as liquidity, funding, hedging activities, and treasury investment allocations. 5. **ILAAP Process:** Play a leading role in the Internal Liquidity Adequacy Assessment Process (ILAAP), focusing on liquidity stress testing, scenario design, and regulatory compliance. 6. **Regulatory Metrics:** Monitor and assess regulatory metrics, including LCR, NSFR, EVE, and NII, ensuring robust governance of methodologies, assumptions, and risk reporting. 7. **Emerging Risks:** Identify emerging risks, regulatory developments, and material risk drivers, recommending actions to strengthen the bank's risk management framework. 8. **Risk Appetite Statements:** Support the development of Risk Appetite Statements, Early Warning Indicators, and Risk Inventory assessments for Treasury Risk. 9. **Relationship Building:** Build strong relationships across the business,

Full Job Description

Manager, Treasury Risk - Liquidity (fixed term 12 mc)

Creating a better online experience with cookies. We care about your experience online, thats why we use cookies to make sure our website runs smoothly while personalising your visit for your ease of use and convenience. To choose what cookies you want to accept, select Manage cookies. To accept all cookies for the best possible experience, select Accept all. If youd like to learn more about how we use cookies and to manage your selection, visit our Cookie Policy

Manage Cookies
Reject All
Accept All
Search Jobs
Job Alerts Link

Job Details

Manager, Treasury Risk - Liquidity (fixed term 12 mc)
Job Description
Apply now
Requisition Number:  62260
Job Location:  Warszawa, POL
Global Grade:  Band 6
Work Type:  Home Working
Employment Type:  Fixed Term Worker
Posting Start Date:  14/09/2026
Posting End Date:  31/10/2026
Job Description: 

Job Summary

Manager, Treasury Risk Liquidity acts as the 2LoD (Risk Controlling) function and supports the Lead Treasury Risk - Liquidity to perform risk advisory, review and challenge and risk oversight role across Treasury Risk, including but not limited to Liquidity Risk, Funding Risk, Interest Rate Risk in the Banking Book (IRRBB), Credit Spread Risk in the Banking Book (CSRBB), Recovery & Resolution, and Intragroup Credit providing recommendations to key Committees and Senior Management, where relevant.

Key Responsibilities

  • Lead the independent oversight and challenge of Treasury activities, helping to protect the bank's balance sheet across liquidity, funding, IRRBB and CSRBB risks.
  • Own and continuously enhance IRRBB methodologies, including Economic Value of Equity (EVE) and Net Interest Income (NII) frameworks, ensuring they remain fit for purpose and aligned with regulatory expectations.
  • Review, challenge and approve monthly IRRBB reporting, providing meaningful risk insights and recommendations to senior management and governance committees.
  • Partner with Treasury, Finance and Model Development teams as the Second Line of Defence (2LoD) model sponsor for IRRBB models, ensuring compliance with model risk management standards.
  • Review and challenge key balance sheet strategies, including liquidity, funding, hedging activities and treasury investment allocations.
  • Play a leading role in the Internal Liquidity Adequacy Assessment Process (ILAAP), with a particular focus on liquidity stress testing, scenario design and regulatory compliance.
  • Monitor and assess regulatory metrics, including LCR, NSFR, EVE and NII, ensuring robust governance of methodologies, assumptions and risk reporting.
  • Identify emerging risks, regulatory developments and material risk drivers, recommending actions to strengthen the bank's risk management framework.
  • Support the development of Risk Appetite Statements, Early Warning Indicators and Risk Inventory assessments for Treasury Risk.
  • Build strong relationships across the business, regulators and governance committees, providing expert advice and influencing key strategic decisions related to balance sheet and treasury risk management.

Skills and Experience

  • 5 years of experience in liquidity and funding management within a banking or financial services environment.
  • Strong understanding of Interest Rate Risk in the Banking Book (IRRBB) and balance sheet risk management.
  • Knowledge of Credit Spread Risk in the Banking Book (CSRBB).
  • Exposure to treasury activities and financial resource management.
  • Experience supporting balance sheet optimization and strategic planning.
  • Understanding of ILAAP processes, including liquidity stress testing and regulatory requirements.
  • Excellent verbal and written communication skills, with the ability to present complex topics clearly to a range of stakeholders
  • Education Minimum Degree from An Accredited University and Professional Qualifications (MBA, CPA Etc.)
  • Training: Banking Regulatory Framework, Substantial Experience in the Banking Industry or Consultancy with Specific Expertise in Treasury Activities and Risk Management, Strong Experience in Treasury Markets, Treasury Liquidity, IRRBB And CSRBB
  • Certifications:  Treasury And Balance Sheet Management (Preferred but Not Mandatory)
  • Languages: Business Proficiency in English (Verbal & Written) & German (Not Mandatory) 

 

About Standard Chartered

We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you're looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can't wait to see the talents you can bring us.

Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you'll see how we value difference and advocate inclusion.

Together we:

  • Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do
  • Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well
  • Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term

What we offer

In line with our Fair Pay Charter, we offer a competitive salary and benefits to support your mental, physical, financial and social wellbeing.

  • Core bank funding for retirement savings, medical and life insurance, with flexible and voluntary benefits available in some locations.
  • Flexible working options based around home and office locations, with flexible working patterns.
  • Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and all sorts of self-help toolkits
  • A continuous learning culture to support your growth, with opportunities to reskill and upskill and access to physical, virtual and digital learning.
  • Being part of an inclusive and values driven organisation, one that embraces and celebrates our unique diversity, across our teams, business functions and geographies - everyone feels respected and can realise their full potential.
Apply now
Information at a Glance

Similar Jobs

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Governance, Risk Management & Compliance
Requisition Number60098
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Requisition Number56667
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Job Skills
Key Skills
Liquidity Risk
Scenario Design
Interest Rate Risk
Risk Management
Stress Testing
Relevant Skills
Communication Skills
Knowledge of Finance
Balance Sheets
English
More

Skills Matching

Upload Your CV
Use your CV to see how well your skills match up with this job
Get Started