About the job
Exciting Opportunity
Join Castle Trust Bank as a Treasury & Balance Sheet Risk Manager and embark on an inspiring journey with a leading fintech challenger bank. We specialize in providing unique property mortgages, retail finance lending, and competitive savings accounts to a diverse range of clients.
This role presents a distinctive chance to be a key player in our Risk team, where you will spearhead the creation of a robust second line of defense to monitor and manage risks associated with our Treasury operations and the overall balance sheet. You will focus on critical areas such as Capital Management, Liquidity, Market Risk (Interest Rates), Wholesale Credit, and Accounting Volatility (behavioral and rates).
Your responsibilities will include maintaining a strong risk framework, ensuring effective policies and oversight across key risk drivers, challenging risk models, assisting with regulatory submissions, and delivering insightful reports to the Executive Committee and the Board. You will work closely with Treasury, Finance, and Risk colleagues to enhance risk management practices across the organization.
This position offers a hybrid working arrangement, with three days in our London office and two days working from home.

