金融>その他 会員属性などに応じ、当該求人をビズリーチ上で閲覧された際に内容が異なる場合があります About Revolut People deserve more from their money. More visibility, more control, and more freedom. Since 2015, Revolut has been on a mission to deliver just that.
Our powerhouse of products including spending, saving, investing, exchanging, travelling, and more help our 50 million customers get more from their money every day.
As we continue our lightning-fast growth, 2 things are essential to our success: our people and our culture. In recognition of our outstanding employee experience, we've been certified as a Great Place to WorkTM.So far, we have 10,000 people working around the world, from our offices and remotely, to help us achieve our mission.
And we're looking for more brilliant people.People who love building great products, redefining success, and turning the complexity of a chaotic world into the simplicity of a beautiful solution.
About the role Finance team is an important part of every business. But not at Revolut the global financial super app leans on its Finance team. They're more than an important part of business they're our backbone Internal accounting? Yeah, that's good for a start.Supporting all areas of the company and assessing financial implications from various key strategic decisions and growth opportunities this is what those peeps do all day long ? We're looking for a Core Treasury Manager to work across functions and products.
Because you have an awesome skill set, you'll also manage liquidity, market, wholesale credit, and capital adequacy risks for the business.
You'll lead the Treasury team in delivering and maintaining an effective Treasury function for a new retail banking entity.Ready to accept the call yet? What you'll be doing Managing liquidity risk for the Japan business from planning and forecasting through to front end execution Enhancing, building out and embedding liquidity management frameworks Developing deep insight of liquidity movement and related risk management Building and maintaining models and methodologies for liquidity forecasting Supporting the business on development of new products by providing advice on capital and liquidity requirements Managing and optimising ongoing liquidity adequacy Integrating a warehouse funding facility to support unsecured credit growth.
Ensure we meet partner bank and internal reporting requirements. Supporting business decision making and associated liquidity actions Maintaining up-to-date knowledge and understanding of liquidity regulation requirements Providing input to key regulatory processes Owning the development, production and management of the Monthly ALCO review process5 years of experience in building Treasury processes and controls. Experience as Treasury Manager with Banks Excellent analytical skills and a hands-on attitude The ability to understand complex financial concepts and break them into smaller pieces Experience and understanding of treasury management within the financial services industry Fluency with Japanese and English Bachelor's degree in Science, Technology, Economics or Math フレックスタイム
-
Kashiwa AIG損害保険株式会社金融>コーポレートファイナンス · 保険>損害保険 会員属性などに応じ、当該求人をビズリーチ上で閲覧された際に内容が異なる場合があります Job Purpose Manager Financial Reporting will support Head of Regional Financial Reporting and work closely with legal entity Controller teams to deliver accurate and timely financial reporting for US GAAP, J GAA ...