Executive search firm Monroe Consulting Group is recruiting on behalf of a growing digital bank which serves as a bridge between traditional banking and digital finance. Our respective client is looking for a Treasury Head who is well-versed in Liquidity & Cash Management, Funding Strategy, Capital Market, Reconciliation, & Treasury Operations. This is a Full Onsite role based in Taguig City, Metro Manila, Philippines.
Job Summary:
Treasury Head is responsible for overseeing the bank's treasury operations, including liquidity management, funding, capital markets, and financial risks. This leadership role is responsible for developing and executing strategies to optimize the bank's balance sheet, maintain regulatory compliance, and support sustainable business growth.
Key job responsibilities include:
- Manage day-to-day liquidity to ensure adequate funding across all entities and currencies; oversee cash flow forecasting and optimization.
- Manage short- and long-term funding strategies, including interbank and capital market activities.
- Develop and execute short-term and long-term funding strategies; manage relationships with financial institutions, investors, and rating agencies.
- Manage capital structure to meet regulatory and strategic targets
- Formulate and execute both short-term and long-term funding strategies, including
- interbank borrowing and capital market transactions.
- Lead cash flow forecasting, optimization, and capital structure planning.
- Coordinate with external stakeholders (investors, credit agencies, counterparties) for funding and capital raising.
- Oversee market-facing treasury activities including debt issuance, FX, and interest rate hedging. Monitor market trends and macroeconomic indicators.
- Manage relationships with banks, rating agencies, and market counterparties; lead funding transactions as needed.
- Ensure compliance with regulatory requirements and internal policies.
- Maintain accurate records of all financial transactions and investments.
- Collaborate with Risk, Compliance, and Finance teams on regulatory reporting and audits. Oversee treasury team to ensure operational efficiency and accuracy.
- Other tasks as assigned by the CFO.
Key job requirements include:
- Bachelor's degree in Finance, Economics, Accounting, or a related field; MBA or CFA preferred.
- Minimum 10-15 years of experience in banking, with at least 5 years in a senior treasury or finance leadership role.
- Strong knowledge of financial markets, instruments, and regulatory frameworks.
- Proven experience in liquidity management, capital markets, and funding strategy.
- Excellent leadership, analytical, and stakeholder management skills
- Proficiency in treasury systems and financial modeling tools.
- Experience working in regional or global banks.
- Familiarity with digital treasury platforms and treasury transformation initiatives.
- Strong interpersonal skills with ability to influence at all levels of the organization.