Treasury Risk Governance - Dubai, United Arab Emirates - HSBC

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    Description

    Requirements

    To be successful in this role you should meet the following requirements:

    • Demonstrable experience in business management or risk/control roles within a financial institution, preferably in the context of Global Treasury, Markets Treasury and/or Markets business;
    • Experience of Markets/ Treasury business and products (i.e., Capital, Liquidity, IRRBB);
    • Treasury function experience within a global organisation, preferably in the context of a bank;
    • Analytical and project management skills;
    • Knowledge of internal control and risk management in Markets/ Treasury;
    • Experience of building and maintaining strong relationships with stakeholders (at all levels of seniority).

    The base location for this role is either London or Edinburgh and with a hybrid working pattern.