JobStreet Teknologi & IT Full Time

Treasury Manager, Business and Balance Sheet Strategy

Macquarie Group

Indonesia Gaji dirahasiakan Diposting 3 hari lalu
Lokasi Indonesia
Gaji Gaji dirahasiakan
Tipe Kerja Full Time
Negara Indonesia

Deskripsi Pekerjaan

Informasi lengkap tentang posisi dan persyaratan

Ringkasan Yukerja

Lowongan Treasury Manager, Business and Balance Sheet Strategy di Macquarie Group kami kurasi dari JobStreet (kategori Teknologi & IT). Perhatikan lokasi kerja (Indonesia) sebelum melamar. Yukerja.com bukan pemberi kerja — lamaran diproses di situs sumber resmi.

Additional office locations

London

Job ID

23381

Date

30-Jul-2026

Permanent - Full time, Mid-level

Job category

Accounting / Finance

As a Manager within the EMEA Business and Balance Sheet Strategy team, reporting into Group Treasury, you will take ownership of capital and liquidity management activities across multiple regulated entities, helping to shape strategic decisions that support sustainable growth and resilience. Working closely with colleagues across Group Treasury, Finance, Risk Management Group, Macquarie Asset Management and Macquarie Capital, you will lead the development of capital and liquidity frameworks, contribute to forecasting and stress testing activities, and oversee key regulatory deliverables, including Internal Capital Adequacy and Risk Assessment processes. Operating with a high degree of autonomy, you will provide technical expertise on prudential matters, influence senior stakeholders, and help drive effective balance sheet management across the region focused our non-bank entities under IFPR / MIFIDPRU rules.

While Macquarie offers hybrid working for many of our roles, this role does require three days a week in our advertised location.  

As a Manager within the EMEA Business and Balance Sheet Strategy team, reporting into Group Treasury, you will take ownership of capital and liquidity management activities across multiple regulated entities, helping to shape strategic decisions that support sustainable growth and resilience. Working closely with colleagues across Group Treasury, Finance, Risk Management Group, Macquarie Asset Management and Macquarie Capital, you will lead the development of capital and liquidity frameworks, contribute to forecasting and stress testing activities, and oversee key regulatory deliverables, including Internal Capital Adequacy and Risk Assessment processes. Operating with a high degree of autonomy, you will provide technical expertise on prudential matters, influence senior stakeholders, and help drive effective balance sheet management across the region focused our non-bank entities under IFPR / MIFIDPRU rules.

While Macquarie offers hybrid working for many of our roles, this role does require three days a week in our advertised location.  

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Tips Melamar Treasury Manager, Business and Balance Sheet Strategy

  1. Baca deskripsi lengkap dan pastikan skill Anda match sebelum melamar ke Macquarie Group.
  2. Sesuaikan CV dan cover letter dengan kata kunci dari job description — terutama untuk kategori Teknologi & IT.
  3. Klik Lamar Sekarang untuk diarahkan ke JobStreet. Proses rekrutmen sepenuhnya di situs sumber.
  4. Siapkan portfolio atau LinkedIn yang update jika diminta di tahap screening.
  5. Waspadai permintaan transfer uang — lowongan resmi tidak memungut biaya.

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