CrawlJobs Logo

Risk Treasurer

China, Shanghai · Job Posted January 20, 2026
Apply Position
Job Link Share

Job Description

The Risk Treasurer is an intermediate level position responsible for assisting in mitigating bank risk and ensuring bank compliance with regulatory and legal limits, in coordination with the Trading team. The overall objective of this role is to review balance sheets, and ensure risk to the bank is limited in support of Finance and Product control.

Job Responsibility

  • Oversee the balance sheet, liquidity, cash flow and interest rate risk of the bank by closely coordinating with different departments in the bank
  • Manage the banking risk position and RMH books to meet and exceed Profit and Loss (P/L) targets
  • Review and manage the daily LCY and FCY balance sheets and cash flow and coordinate daily funding activity with the Trading Desk
  • Ensure bank liquidity is in line with liquidity plans and limits, and ensure local and global regulatory liquidity ratios and limits are adhered to
  • Ensure bank compliance with all regulatory and legal limits and requirements, including Reserve Requirement, Legal Lending Limit etc
  • Assist with implementing the transfer pricing process and ensure it is transparent and in line with all the global policies
  • Support the LMT Head/ Country Treasurer with required deliverables and assist with preparing the monthly deck and regular call presentations
  • Coordinate the daily and the monthly P/L estimate and calculation process with Finance and Product control
  • Leading strong governance and controls: Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance in order to ensure appropriate governance and control infrastructure
  • Build a culture of responsible finance, good governance and supervision, expense discipline and ethics
  • Appropriately assess risk/reward of transactions when making business decisions
  • and ensure that all team members understand the need to do the same, demonstrating proper consideration for the firm’s reputation
  • Be familiar with and adhere to Citi’s Code of Conduct and the Plan of Supervision for Global Markets and Securities Services
  • and ensure that all team members understand the need to do the same
  • Adhere to all policies and procedures as defined by your role which will be communicated to you
  • Obtain and maintain all registrations/licenses which are required for your role, within the appropriate timeframe
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency

Requirements

  • 5-8 years of experience in a related role
  • In-depth understanding of all Treasury Systems and technology platforms
  • Macroeconomic and Quantitative analysis skills
  • Demonstrated ability to thrive in a fast-paced environment and multi-task
  • Consistently demonstrates clear and concise written and verbal communication
  • Bachelor’s degree/University degree or equivalent experience

Looking for more opportunities?

Search for other job offers that match your skills and interests.

Similar Jobs for

Risk Treasurer

8 matching positions

New

Transaction Banking - Liquidity Product Manager : Commercialization & Portfolio Management - (SVP)

This is a role within the Asia South Cluster Liquidity Management Services (LMS)...
Location
Location
Singapore , Singapore
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 8+ years of relevant experience in product management, corporate treasury, or finance
  • Proven experience in a regional or cluster-level role is highly desirable
  • Deep knowledge of the Asia South Cluster liquidity and cash management landscape, including industry players, regulatory environments, and ecosystem partners
  • Collaborative team player who is keen to make a difference
  • Broad and diverse functional experience, with a strong background in product development, analytics, commercialization, and risk management
  • Experience with AI, digital assets, or advanced data analytics in a financial context is a significant advantage
  • Demonstrated ability to work under pressure, manage deadlines, and adjust priorities in a dynamic environment
  • Strong leadership skills with the ability to work unsupervised and drive results across a matrixed organization
  • Excellent analytical, problem-solving, and decision-making skills
  • Consistently demonstrates clear and concise written and verbal communication
Job Responsibility
Job Responsibility
  • Drive corridor data & commercialization initiatives and the adoption of cash concentration, pooling, deposits, and investment products, for both onshore and offshore structures
  • Partner with PDS and develop a liquidity products connectivity and integration with Client's ERP/TMS content and support client/sales/banking advisory
  • Drive billing and fee growth initiatives for the cluster jointly with global liquidity product partners
  • Drive horizontal cash initiatives by working closely & collaborating with sales, banking, payments & platform and data services teams
  • Shape and execute the defend strategy for top corporate, commercial bank, public sector & financial institution clients, driving both revenue growth and client retention
  • Lead the cluster's commercialization strategy, leveraging growth industry analytics, client flows, and data to generate sales leads and monitor campaign effectiveness
  • Creating client facing content to drive commercialization targeting advisory for Treasurer & CFO clients
  • Drive overall deposit portfolio volume growth through targeted strategies and initiatives
  • Lead portfolio optimization efforts, dynamically adjusting strategies to maximize revenue and returns
  • Enhance the quality of the cluster's deposit book by strategically managing the currency mix and overall sub-product composition
  • Fulltime
Read More
Arrow Right
New

Director, Strategic and Financial Initiatives

The Finance Division provides strategic financial leadership, stewardship, and o...
Location
Location
United States , Medford
Salary
Salary:
155100.00 - 232600.00 USD / Year
tufts.edu Logo
Tufts University
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Knowledge and experience typically acquired by: Bachelor's Degree Finance, Economics, Business Administration, Public Policy, Higher Education Administration, or a related field. 7-10 years Progressively responsible experience in strategic planning, consulting, finance, operations, project management, higher education administration, or a related field. Demonstrated experience managing complex projects involving multiple stakeholders. Experience working directly with senior leaders and supporting executive decision-making. Strong analytical and problem-solving skills, including experience with financial analysis and business case development. Demonstrated ability to synthesize complex information into executive-level presentations and written communications. Exceptional written, verbal, and interpersonal communication skills. Strong organizational skills with the ability to manage multiple concurrent priorities. Advanced proficiency in PowerPoint, Excel, and other business productivity tools.
Job Responsibility
Job Responsibility
  • Lead and support Finance Division and university-wide strategic initiatives, including organizational redesign, procurement transformation, operational improvement efforts, financial systems implementation, outsourcing evaluations, and other projects that advance institutional priorities. Coordinate project activities, facilitate stakeholder engagement, track progress, identify risks, and support successful implementation
  • Conduct strategic, financial, and business analyses to support executive decision-making. Gather information from Finance Division leaders and institutional stakeholders and synthesize findings into actionable recommendations. Support long-range planning, organizational assessments, and evaluation of strategic opportunities
  • Develop presentations, briefing materials, board-facing analyses, executive summaries, talking points, and reports for senior leadership, committees, and trustees. Translate complex financial, operational, and organizational information into concise and compelling narratives tailored to executive audiences
  • Build relationships with leaders and staff across schools, central administrative units, and the Finance Division. Represent the Office of the Vice President for Finance and Treasurer on project teams, working groups, and meetings as appropriate. Facilitate collaboration across stakeholders and ensure timely follow-up on action items and project deliverables
  • Support management of Finance Division priorities by monitoring initiative progress, preparing leadership updates, coordinating information requests, and helping ensure alignment across divisional activities. Identify opportunities to improve organizational effectiveness and operational efficiency
  • Fulltime
Read More
Arrow Right

International Corporate Bank Coverage Banker – Energy

Join Barclays as an International Corporate Bank Coverage Banker – Energy, where...
Location
Location
United States , New York
Salary
Salary:
145000.00 - 215000.00 USD / Year
barclays.co.uk Logo
Barclays
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Ample credit analysis and risk assessment capabilities
  • Confirmed client relationship management and stakeholder engagement skills
  • Experience across trade finance and transaction banking products
  • Solid background in corporate lending, including structuring and execution
  • Willing and able to travel up to 20% as required
Job Responsibility
Job Responsibility
  • Guide and grow relationships with large corporate clients in the global energy sector (oil & gas, renewables, utilities, and energy transition companies)
  • Serve as the primary client interface, delivering strategic financial solutions across lending, risk management, and capital markets, while coordinating with product teams globally
  • Act as the primary relationship manager for a portfolio of energy clients, develop deep understanding of client strategies, capital structures, and operating environments
  • Maintain regular interaction with senior client stakeholders (CFOs, Treasurers, FP&A leads) and drive client engagement and identify opportunities to expand relationships
  • Fulltime
Read More
Arrow Right

L5 Finance Consultant

We are recruiting on behalf of our government client who is seeking an experienc...
Location
Location
Australia , Perth
Salary
Salary:
65.00 - 75.00 AUD / Hour
https://www.randstad.com Logo
Randstad
Expiration Date
July 04, 2026
Flip Icon
Requirements
Requirements
  • Demonstrated considerable knowledge and understanding of the financial legislative framework, such as, Financial Management Act 2006, State Supply Commission Act 1991, Regulations and Treasurer's Instructions, taxation legislatures and Departmental policy and procedures
  • Demonstrated well developed organisational skills, including practical experience in the use and support of the financial management information systems used in schools
  • Demonstrated well developed research, conceptual and risk management skills, including the ability to provide innovative solutions to strategic and complex problems and issues
  • Demonstrated well developed interpersonal and verbal communication skills with the ability to work effectively and professionally with internal and external stakeholders and build and maintain effective relationships and networks
  • Demonstrated well developed written communication skills, including experience in contributing to reports and briefing papers
  • Demonstrated skills and experience in developing and delivering school financial training programs
What we offer
What we offer
  • plus super
!
Read More
Arrow Right

Junior Project Cost Controller

Are you a detail-oriented financial professional looking to elevate your career ...
Location
Location
Canada , Ottawa
Salary
Salary:
46.50 - 48.50 USD / Hour
https://www.randstad.com Logo
Randstad
Expiration Date
August 01, 2026
Flip Icon
Requirements
Requirements
  • Bachelor of Commerce or Bachelor of Arts (major in Accounting), and/or similar education and equivalent experience
  • 1-3 years of experience in large multi-national or national organization, in the Defense & Security sector or previous experience in project cost controlling
  • Experience working on projects and knowledge of basic project management and the project lifecycle
  • Knowledge and previous experience working with different business systems and tools (i.e. SAP, Primavera and Excel)
Job Responsibility
Job Responsibility
  • Responsible for cost control and ensures that it is in conformance with company’s policy
  • Develops and prepares project budget and contract changes
  • In collaboration with PMO, maintains financial budget and Estimate At Completion in Primavera
  • Validates jointly with Project Management Office and Finance Manager to resolve any inconsistency and Estimate At Completion changes
  • Prepares, validates with Project Manager the monthly re-forecasting of Sales, Gross Margin, Cost Variance, Adjusted Gross Margin and Cash-in and ensures that the information is in time to be integrated on the monthly Company Operational Budget Review (OBR)
  • Project Cash monitoring and liaises with the Company’s Treasurer on project cash flow, foreign exchange exposure, hedging activities and customer cash collection
  • Produces monthly project report (Dashboard) and forecasts data package with major risks and opportunities identified. Of which main tasks are: Actual cost validation, Commitment cost validation, Estimate to Complete (ETC) validation and control check
  • Produces external weekly and monthly reporting as required, monitoring actuals and budgets
  • Produces external task forecasts of project burn-rate for level of effort contracts as required
  • Supports Business Control Manager in the monthly Project Control Group processes – Timesheet Admin, monthly programmatic consolidation of all projects, financial analysis.
What we offer
What we offer
  • Company paid Extended Health, Dental, HSA, Life, AD&D, Short-term Disability, Cancer Care Program, travel insurance, Employee Assistance Plan and Well-Being program
  • Retirement Savings Plans (RRSP, DCPP, TFSA) with a company contribution and a match to a DCPP, with no vesting period
  • Company paid holidays, vacation days, and paid sick leave
  • Voluntary Life, AD&D, Critical Illness, Long-Term Disability
  • Employee Discounts on home, auto, and gym membership
  • Fulltime
Read More
Arrow Right

Head of Treasury - BPL

Barclays Finance team role shaping financial strategy through accounting, budget...
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
barclays.co.uk Logo
Barclays
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Master’s degree in Finance, Economics, Accounting, or Business Administration from a reputable institution
  • Professional certification preferred: ACT (Association of Corporate Treasurers), CFA, CTP, or equivalent
  • Significant experience in treasury, financial risk management
  • Significant experience in a senior treasury leadership role within payment acquiring, digital banking, fintech or digital payments
  • Proven record in multi-currency treasury management, cross-border liquidity, and regulatory compliance across jurisdictions
  • Proven record in capital and liquidity management
  • Deep knowledge of treasury operations, cash management, ALM, FX, derivatives, and investment management
  • Advanced proficiency with Treasury Management Systems (e.g., Kyriba, FIS, SAP TRM)
  • Strong command of IFRS, Basel III liquidity principles, and local prudential regulations
  • Solid understanding of fintech payment ecosystems, Card Scheme flows, and settlement risk
Job Responsibility
Job Responsibility
  • Set treasury strategy, governance, policies, limits, and reporting across all entities and jurisdictions
  • Lead liquidity and cash management, including forecasting, stress testing, and liquidity KPIs
  • Optimise funding and capital structure, including intercompany funding and capital repatriation
  • Manage market and financial risks (FX, interest rate), including hedging strategy, execution, and oversight
  • Drive treasury technology, automation, and MI (TMS, APIs, dashboards, AI-enabled forecasting)
  • Ensure regulatory and prudential compliance, and act as trusted advisor to the CFO/CEO/Board on treasury matters
  • Develop and execute the Barclaycard Payments Treasury Strategy aligned with overall financial, risk, and business objectives
  • Establish a central treasury governance framework defining policies, procedures, limits, and approval authorities across subsidiaries
  • Design and maintain the Barclaycard Payments Liquidity Policy, Funding Policy, and Investment Policy, ensuring alignment with local regulatory requirements
  • Development and implementation of liquidity strategies to optimise the bank's cost of capital and utilisation of various funding instruments
What we offer
What we offer
  • Cycle or run to work facilities
  • CoSpace drop-in co-working space
  • Wellness Suite including gym and exercise studios, personal training sessions and massage therapy
  • Advanced trading floors
  • Hybrid working
  • Flexible working arrangements (subject to discussion with hiring manager)
  • Fulltime
Read More
Arrow Right

Treasurer

My client, a private equity-backed SaaS company, is seeking a hands-on Treasurer...
Location
Location
United States , Centreville
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor's degree in Finance, Accounting, or a related field
  • 10–15+ years of experience in treasury, corporate finance, or cash management roles
  • Proven experience managing complex, multi-entity and multi-bank environments, including account consolidation and process optimization
  • Strong expertise in cash management, liquidity planning, and operational treasury functions
  • Experience working within a SaaS or technology environment, preferably private equity-backed
  • Familiarity with debt instruments, credit agreements, and covenant compliance
  • Experience with treasury management systems, bank portals, and ERP integrations
  • Demonstrated ability to lead process improvement, automation, and operational transformation initiatives
  • Strong analytical and problem-solving skills, with a focus on driving efficiency and reducing risk
Job Responsibility
Job Responsibility
  • Lead the annual budgeting and rolling forecast processes, ensuring alignment with company growth objectives and improving forecast accuracy
  • Build, maintain, and enhance financial models to support long-term planning, scenario analysis, and strategic initiatives
  • Develop a deep understanding of SaaS revenue drivers, including ARR, churn, bookings, and revenue recognition, along with cost structure and margin performance
  • Partner with business leaders across sales, marketing, product, and operations to evaluate performance, identify risks and opportunities, and drive accountability
  • Prepare and deliver executive-level reporting packages, including board materials, dashboards, and financial presentations
  • Perform detailed variance analysis and translate financial results into clear, actionable insights for stakeholders
  • Support KPI development and tracking, with a focus on key SaaS metrics to drive operational and financial performance
  • Assist in improving financial processes, reporting accuracy, and alignment between FP&A and accounting teams
  • Contribute to the enhancement and optimization of FP&A systems, reporting tools, and business intelligence platforms
  • Support strategic initiatives such as pricing analysis, unit economics, capital planning, and potential M&A activity
What we offer
What we offer
  • medical coverage
  • vision coverage
  • dental coverage
  • life insurance
  • disability insurance
  • 401(k) plan
  • Fulltime
Read More
Arrow Right

Business Development Director

We are seeking a high-calibre Business Development Director to lead the originat...
Location
Location
United Kingdom , Edinburgh; Glasgow
Salary
Salary:
Not provided
barclays.co.uk Logo
Barclays
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Significant experience in Corporate Banking within the Large Corporate segment
  • Proven track record of originating and winning complex, high-value client relationships
  • Strong understanding of corporate finance, capital structures and multi-product banking solutions
  • Demonstrated ability to build and convert a high-quality opportunity pipeline
  • Strong network across Scotland's corporate and advisory landscape
  • Self-starter with a proactive, market-led approach to origination
  • Credibility and confidence to engage at CFO / C-suite level
  • Excellent stakeholder management across internal and external networks
  • Ability to collaborate effectively across a large, matrixed organisation
  • Strong commercial judgement with a focus on risk-adjusted returns
Job Responsibility
Job Responsibility
  • Driving New Business Origination: Identify and originate new-to-bank Large Corporate relationships across Scotland
  • Build and manage a prioritised target pipeline of high-value prospects
  • Develop tailored engagement strategies for complex, multi-stakeholder organisations
  • Lead early-stage client engagement and convert opportunities into active mandates
  • Building Strategic Relationships: Establish and maintain relationships with CFOs, Treasurers and senior executives, Private equity sponsors and institutional investors, Professional advisers including corporate finance, legal and accountancy firms
  • Build a strong external profile, representing Barclays across industry events and forums
  • Position Barclays at the centre of Scotland's corporate ecosystem
  • Delivering Client-Centric Solutions: Originate opportunities across Barclays' full product suite, including Corporate and structured lending, Transaction banking and liquidity solutions, FX and risk management, Investment Banking, Debt Capital Markets and strategic advisory
  • Work closely with product specialists and sector experts to deliver integrated, solutions-led propositions that meet client needs
  • Pipeline Management & Execution: Maintain a disciplined, data-driven approach to pipeline management
What we offer
What we offer
  • Wellness rooms
  • Gyms
  • Mental health support
  • Inclusive culture
  • Collaborative areas
  • Socialising
  • Sports
  • Community events
  • Volunteering
  • Fulltime
Read More
Arrow Right