Macquarie seeks a Treasury Manager within the Business and Balance Sheet Strategy team. You will own capital and liquidity management across regulated entities, partnering with senior stakeholders to drive sustainable growth and regulatory compliance.
In this hybrid role, you will shape frameworks, forecast and stress test activities, and provide expert prudential advice while coordinating with Group Treasury and Risk teams across the region.
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Treasury Manager, Balance Sheet & Capital Strategy (EMEA) employer: Macquarie Bank Limited
At Macquarie, we pride ourselves on being an exceptional employer, offering a dynamic work culture that empowers employees to drive meaningful change within the financial services sector. With a strong focus on employee wellbeing, we provide generous benefits such as 25 days of annual leave, paid parental and fertility leave, and access to extensive learning and development opportunities. Our commitment to inclusivity and support for personal growth ensures that every team member can thrive while making a lasting impact across our global operations.