Head of Treasury Management

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First
Basic information
Job role
Treasury Management
Career level
Director (10-20 years)
Keywords
Head of Treasury Management - Treasury - Banking
People
Second
Description
  • Lead liquidity management, cash flow forecasting, and funding activities to ensure the bank consistently meets its financial obligations and regulatory liquidity requirements.
  • Execute all money market transactions, including interbank borrowing and lending, to manage short-term liquidity gaps.
  • Manage the execution of the bank’s investment portfolio, specifically the buying and selling of Egyptian Treasury Bills and Bonds (T-Bills & T-Bonds).
  • Develop, implement, and maintain treasury policies, frameworks, limits, and internal controls, ensuring strong governance and audit readiness.
  • Ensure full compliance with CBE liquidity, funding, reserve, and treasury reporting requirements, including timely and accurate regulatory submissions.
  • Prepare, monitor, and report key liquidity metrics, stress testing results, and scenario analysis in line with CBE guidelines and internal risk frameworks.
  • Manage relationships with correspondent banks, clearing banks, settlement agents, and other financial counterparties.
  • Oversee cash management, payments-related treasury processes, settlement activities, and nostro account management, ensuring operational efficiency and control.
  • Identify, assess, and manage treasury-related risks, including liquidity risk, interest rate risk in the banking book (IRRBB), and funding concentration risk.
  • Support regulatory licensing, bank readiness, and ongoing supervisory engagement with the CBE from a treasury and liquidity perspective.
  • Coordinate closely with Finance, Risk, Compliance, and Operations teams to ensure alignment on financial reporting, regulatory requirements, and risk management.
  • Support the selection and implementation of treasury systems and tools suitable for a digital banking environment, including liquidity monitoring and reporting solutions.
  • Monitor market trends, interest rate movements, and CBE policy changes to provide real-time pricing guidance for the bank's digital deposit and loan products.
  • Coordinate with external auditors, regulators, and other stakeholders on treasury-related matters, audits, and reviews.
  • Build, lead, and develop the treasury function and team, including capability building, succession planning, and performance management.
Requirements
  • Bachelor’s degree in Finance, Economics, Accounting, or a related field; professional qualifications (e.g., CFA, FRM, or equivalent) preferred.
  • 12–15 years of experience in treasury, liquidity management, or balance sheet management within banking or regulated financial services.
  • Strong understanding of treasury operations, liquidity risk management, funding strategies, and ALM principles.
  • Proven experience with regulatory liquidity requirements and supervisory expectations, ideally within the Egyptian banking sector and CBE framework.
  • Demonstrated experience supporting senior management decision-making with clear, data-driven insights.
  • Strong analytical skills, with high attention to detail and a robust risk management mindset.
  • Experience working closely with Finance, Risk, and Compliance functions in a regulated environment.
  • Excellent stakeholder management and communication skills, with the ability to engage senior leadership and external counterparties.
  • Ability to operate effectively in a regulated, fast-paced, transformation-led, and digital-first banking environment.
  • Fluency in English and Arabic is required.
Third
Company information
Industry
Banking
Area
New Cairo