Vicepresidente Tesoreria
Fecha: 7 jul 2025
Ubicación: Lima, LIM, PE, 15047
Empresa: Scotiabank
ID de la solicitud: 230327
Gracias por tu interés en ser parte de Scotiabank Perú, apreciamos tu postulación. Estamos en la búsqueda de personas con talento que quieran crecer y lograr los objetivos de nuestra organización. ¡Te deseamos mucho éxito dentro de este proceso!
VICEPRESIDENTE TESORERIA
-Business Line: FINANZAS
-Unit: TESORERIA
-Nivel: 10
Gracias por tu interés en ser parte de Scotiabank Perú, apreciamos tu postulación. Estamos en la búsqueda de personas con talento que quieran crecer y lograr los objetivos de nuestra organización. ¡Te deseamos mucho éxito dentro de este proceso!
Misión:
The Group Treasurer is responsible for developing and implementing the strategy for Peru’s Treasury function, ensuring alignment with BNS Group Treasury strategy, policies and practices. The Group Treasurer manages activities related to the execution of Asset and Liability Management (ALM) strategies for Treasury in Peru, ensuring a healthy and profitable balance sheet structure within the local regulatory framework and in accordance with the standards and procedures established for such purposes by Scotiabank.
The incumbent works with all the Group’s business lines to prudently grow all aspects of treasury business to a level that balances both risk and return. Asset and liability management is a key area of focus and incorporates; structural interest rate risk management, funding and liquidity management, FX risk management, capital management, and the management of securities held for investment purposes or pursuant to statutory requirements. The Group Treasurer is expected to provide direction of ALM strategy and ensure adherence to applicable regulatory requirements. The position also has input into other operational areas which have a direct impact on the region’s treasury function (e.g. systems, risk management etc.)
¿Qué esperamos de ti?
•Business/engineering/finance/mathematics degree is a must
•Post-Graduation, MBA, CFA or similar is desirable
•Spanish and English proficiency
•10 year experience in Treasury, Market and Liquidity Risk Management and Capital Markets roles
•10 year experience dealing with financial products, Fixed Income, Foreign Exchange, Equities, and Derivatives products
•Proficient in local and international Banking Regulations and sound practices (Basel, OSFI, IOSCO, Others
•Ability to understand the regulatory environment in Peru and potential effects on investment, liquidity, structural risk and ALM activities
•Understanding of related bank policies (from head office) and best practices, including Volcker rules
¿A qué retos te enfrentarás?
•Leads and drives a customer focused culture throughout their team to deepen client relationships and leverage broader Bank relationships, systems and knowledge.
•Ensures all transactions are conducted in accordance with prevailing Treasury Risk Management policies, and practices, ensuring that they remain within the established risk appetite framework and authorized limits
•Escalate potential limit violations and exceptions together with planned corrective action to the SVP and International Treasurer and SVP and CFO Peru in a timely manner.
•Manages assigned portfolios of the Bank’s investment, funding and liquidity activity to achieve optimum funding positions and compliance with statutory reserve requirements, minimizing the effect of adverse conditions and profitably employing surplus funds.
•Funding & Liquidity Management
- Broaden customer base to improve liquidity and reduce reliance on the interbank market and wholesale funding ratios
- Expand funding opportunities in Peru
- Optimize and develop funding instruments / investments to enhance revenue
- Identify revenue generating opportunities within established risk tolerance
- Comply with liquidity ratios targets, limits and regulatory requirements (e.g.: LCR, NSFR, etc.)
- Partner with all other business lines to provide competitive pricing and market indications for loans and deposits to all business lines of the group and to grow Core Deposits
•Investment Portfolio
- Manage the Investment Portfolios to enhance revenues consistent with the funding structure
- Identify and crystalize business opportunities
- Drive investment strategies for Peru, in consistency with market, operational and credit risk appetite of both the local and the parent Bank
•Ensures accurate Management Information returns and reports, sufficient to satisfy the requirements of Executive Offices, Senior Management, Central Bank, the Superintendent of Banks and to facilitate management of the Treasury function, are prepared / received in a timely and accurate manner
•Develops adequate analytics and information tools, as necessary, to perform a comprehensive analysis of the balance sheet and its expected behavior, in order to propose financial initiatives and hedging strategies.
•Directs day-to-day activities in a manner consistent with the Bank’s risk culture and the relevant risk appetite statement and limits. Communicates the Bank’s risk culture and risk appetite statement throughout their teams.
•Creates an environment in which his/her team pursues effective and efficient operations of his/her respective areas, while ensuring the adequacy, adherence to and effectiveness of day-to-day business controls to meet obligations with respect to operational risk, regulatory compliance risk, AML/ATF risk and conduct risk, including but not limited to responsibilities under the Operational Risk Management Framework, Regulatory Compliance Risk Management Framework, AML/ATF Global Handbook and the Guidelines for Business Conduct.
•Builds a high performance environment and implements a people strategy that attracts, retains, develops and motivates their team by fostering an inclusive work environment; communicating vison/values/business strategy and managing succession and development planning for the team.
Ubicación(s): Perú : Lima : San Isidro
Agradecemos tu interés, sin embargo, únicamente los candidatos/as seleccionados para entrevista serán contactados.
** Scotiabank Peru es una empresa incluyente, que respeta la diversidad y no hace ningún tipo de discriminación.
Área de trabajo:
Risk Management, Compliance, Credit Analyst, Bank, Banking, Finance, Legal