Job Openings
Head of Treasury & Risk Management, Holding Company
About the job Head of Treasury & Risk Management, Holding Company
Summary:
We are seeking an experienced and competent Head of Treasury & Risk Management to lead our financial operations and risk management strategies. This role demands a proactive leader with a deep understanding of treasury processes, market trends, and risk mitigation. The ideal candidate will have extensive experience in large holding companies and a proven track record in managing complex financial structures.
Responsibilities:
- Determine financing methods and structure cash flows for the holding company.
- Utilize a wide range of treasury instruments, including loans, dividends, and corporate actions.
- Develop proposals for optimal capital allocation within the group.
- Manage free cash using diverse financial instruments.
- Build and maintain relationships with counterparties and manage payment infrastructure.
- Oversee the holding's currency position and create regular management reports.
- Implement necessary policies at the operational company level.
- Support top management with personal wealth management requests.
- Develop and implement risk management strategies.
- Monitor and analyze financial risks and ensure compliance with regulations.
Requirements:
- Extensive experience in treasuries of large holding companies and investment funds.
- Minimum of 10 years of experience in the Russian market and at least 7 years of managerial experience.
- Deep understanding of operational treasury processes and public company specifics.
- Proactive, business-oriented with strategic thinking and exceptional communication skills.
- Excellent reputation in the banking market and understanding of current market trends.
- Proven leadership qualities and experience in managing high-performing teams.
- High-quality financial education, with international education being a significant plus.