Description:
Group Treasury ("GT") is part of the Group Finance division with responsibility for providing top-down control with respect to funding, liquidity, capital and structural market risk, ensuring a coordinated approach to balance sheet management to support the Group's growth ambitions. Group Treasury is also responsible for recovery and resolution planning and works closely with Group functions (Risk, Strategy, Legal and Investor Relations) on policy, risk management, strategy development and monitoring.
GT supports the Group purpose of enabling customers, colleagues and communities to thrive, in particular, by helping colleagues navigate in financial markets and facilitating growth in sustainable profits by optimising the Group balance sheet.
We are looking for high-reaching candidates to play a meaningful role in a high profile team who will support the oversight of the Group's Capital position, analyse and explain key movements in capital requirements and support testing of key Capital Calculations.
Organization | Bank of Ireland |
Industry | Accounting / Finance / Audit |
Occupational Category | Senior Analyst |
Job Location | Dublin,Ireland |
Shift Type | Morning |
Job Type | Full Time |
Gender | No Preference |
Career Level | Intermediate |
Experience | 2 Years |
Posted at | 2022-11-09 1:31 pm |
Expires on | Expired |