This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Join us in this exciting Treasury & Capital Risk – VP (Digital Assets) role! You’ll step into a role that sits at the heart of Barclays’ evolving approach to digital assets, shaping how the bank manages liquidity, ALM, and treasury‑related financial risks as new technologies emerge. This is a chance to influence strategy in a space where traditional balance‑sheet disciplines meet next‑generation technological solutions. Candidates who thrive here tend to love complexity, cross‑functional problem‑solving, and high‑visibility stakeholder engagement — and you’ll have all three in abundance.
Job Responsibility
To safeguard the bank's financial stability by managing interest rate risk in the banking book, primarily associated with Asset Liability management risk activities including Treasury funding and investment positions in the banking book
Analysis of the bank's asset and liability profile, including maturity mismatches, interest rate sensitivity, and cash flow projections
Development and implementation of investment risk and asset liability risk management frameworks and policies in line with regulatory requirements and internal risk frameworks
Monitoring and reporting on key Asset liability risk management metrics, such as net interest income sensitivity, economic value of equity sensitivity and duration gap
Identification, assessment, and monitoring of risks associated with the bank's investment portfolio, including market risk (interest rate, equity, FX), credit risk, and operational risk
Performance of stress testing and scenario analysis to assess the impact of potential macro economic scenarios on the Banking book portfolio
Requirements
Liquidity risk management — deep understanding of liquidity metrics, stress testing, and funding profiles
ALM risk — familiarity with interest‑rate risk, structural hedging, balance‑sheet dynamics, and treasury frameworks
Financial risk analysis — ability to interpret risk drivers, model outcomes, and challenge assumptions
Nice to have
Digital asset knowledge — helpful but not essential
ability to translate emerging‑tech concepts into risk implications
Stakeholder management — comfort working with Treasury, Risk, Technology, and senior leadership
Executive communication — clarity in presenting complex risk topics to non‑technical audiences
What we offer
Cycle or run to work? We’ve got everything you need – from cycle hire and parking areas to new showering and changing facilities
CoSpace is our drop-in co-working space, where networks are built, problems are solved collectively and our community is strengthened
Our Wellness Suite includes a well-equipped gym and exercise studios, and provides personal training sessions and massage therapy