Treasury Manager, Balance Sheet & Capital Strategy

Treasury Manager, Balance Sheet & Capital Strategy

Full-Time 59400 - 72600 Β£ / year (est.) Home office (partial)
Macquarie Group

At a Glance

  • Tasks: Manage capital and liquidity across regulated entities while forecasting and stress testing.
  • Company: Join Macquarie Group, a leader in financial services with a collaborative culture.
  • Benefits: Enjoy hybrid work, competitive salary, and opportunities for professional growth.
  • Other info: Autonomous role with excellent career advancement opportunities.
  • Why this job: Shape balance sheet outcomes and make a real impact in a dynamic environment.
  • Qualifications: Experience in treasury management and strong stakeholder engagement skills.

The predicted salary is between 59400 - 72600 Β£ per year.

Macquarie Group is seeking a Manager in the EMEA Business and Balance Sheet Strategy team to own capital and liquidity management across multiple regulated entities. You will forecast, stress test, and deliver regulatory outputs, working with Group Treasury, Risk Management, and Macquarie Asset Management to shape balance sheet outcomes and resilience.

The role involves autonomous technical guidance, stakeholder influence, and ensuring alignment with IFPR/MIFIDPRU rules.

Treasury Manager, Balance Sheet & Capital Strategy employer: Macquarie Group

Macquarie Asset Management is an exceptional employer, offering a dynamic work culture that prioritises diversity, equity, and inclusion. With a commitment to employee growth, you will have the opportunity to lead a talented team while engaging with stakeholders globally, all within a supportive environment that encourages innovation and the use of cutting-edge technology. Join us in shaping a fulfilling career that not only drives your professional development but also contributes to a better future for our clients and communities.

Macquarie Group

Contact Details:

Macquarie Group Recruitment Team

We think you need these skills to ace Treasury Manager, Balance Sheet & Capital Strategy

Capital Management
Liquidity Management
Regulatory Compliance
Forecasting
Stress Testing
Stakeholder Management
Technical Guidance