Job Description: Chief Treasury Officer (CTO)
Industry: Banking Financial Services Insurance Investment
Job Type: Full-Time
Reporting To: Chief Financial Officer (CFO) / Chief Executive Officer (CEO)
Job Summary
The Chief Treasury Officer (CTO) is responsible for overseeing the organizations treasury function including liquidity management funding strategies capital planning and financial risk management. This role ensures optimal cash flow efficient capital allocation and compliance with regulatory requirements in a highly regulated financial environment.
The CTO plays a critical role in maintaining financial stability managing market risks and supporting strategic financial decisions.
Key Responsibilities
1. Liquidity & Cash Management
Oversee daily liquidity management and cash flow planning
Ensure adequate funding to meet operational and regulatory requirements
Optimize cash utilization and working capital efficiency
Monitor liquidity ratios and maintain contingency funding plans
2. Funding & Capital Management
Develop and execute funding strategies (debt equity interbank borrowing)
Manage capital structure and optimize cost of funds
Ensure compliance with capital adequacy requirements
Support capital raising initiatives and investor relations
3. Risk Management
Manage financial risks including interest rate foreign exchange and market risks
Develop hedging strategies and risk mitigation frameworks
Monitor exposure limits and ensure compliance with risk policies
Collaborate with risk management and compliance teams
4. Treasury Operations & Investments
Oversee treasury operations including investments securities and portfolio management
Manage relationships with banks financial institutions and counterparties
Ensure optimal return on surplus funds while maintaining risk controls
Supervise trading and treasury systems where applicable
5. Regulatory Compliance & Reporting
Ensure compliance with regulatory requirements (central bank financial authorities)
Oversee treasury-related reporting and disclosures
Maintain adherence to internal policies and governance frameworks
Stay updated on regulatory changes impacting treasury functions
6. Strategic Financial Support
Provide insights on financial markets interest rate trends and liquidity conditions
Support executive leadership in strategic decision-making
Collaborate with CFO and CEO on financial strategy and planning
Contribute to mergers acquisitions and investment decisions
7. Leadership & Team Management
Lead and develop the treasury team
Establish performance standards and accountability
Drive a culture of risk awareness and financial discipline
Support talent development and succession planning
Key Requirements
Education
Masters degree in Finance Economics Business Administration or related field
Professional certifications such as CFA FRM or ACT are highly desirable
Experience
1218 years of experience in treasury banking or financial management roles
Proven experience in senior treasury leadership roles (e.g. CTO Head of Treasury Treasurer)
Strong track record in liquidity management funding and financial risk management
Skills & Competencies
Deep knowledge of treasury operations and financial markets
Strong understanding of banking and financial regulations
Expertise in liquidity capital and risk management
Analytical and strategic thinking skills
Leadership and team management
Excellent communication and stakeholder engagement
Decision-making under complex financial scenarios
Key Performance Indicators (KPIs)
Liquidity ratios and cash flow stability
Cost of funds and capital efficiency
Risk exposure and hedging effectiveness
Compliance with regulatory requirements
Investment returns on surplus funds
Accuracy and timeliness of treasury reporting
Preferred Attributes
Experience in complex or multinational financial institutions
Exposure to capital markets and structured finance
Strong relationships with banks regulators and financial institutions
Ability to operate in a fast-paced highly regulated environment
Compensation & Benefits
Competitive executive salary
Performance-based incentives
Long-term incentives (where applicable)
Executive benefits and allowances
Job Description: Chief Treasury Officer (CTO) Industry: Banking Financial Services Insurance Investment Job Type: Full-Time Reporting To: Chief Financial Officer (CFO) / Chief Executive Officer (CEO) Job Summary The Chief Treasury Officer (CTO) is responsible for overseeing the organizations treasur...
Job Description: Chief Treasury Officer (CTO)
Industry: Banking Financial Services Insurance Investment
Job Type: Full-Time
Reporting To: Chief Financial Officer (CFO) / Chief Executive Officer (CEO)
Job Summary
The Chief Treasury Officer (CTO) is responsible for overseeing the organizations treasury function including liquidity management funding strategies capital planning and financial risk management. This role ensures optimal cash flow efficient capital allocation and compliance with regulatory requirements in a highly regulated financial environment.
The CTO plays a critical role in maintaining financial stability managing market risks and supporting strategic financial decisions.
Key Responsibilities
1. Liquidity & Cash Management
Oversee daily liquidity management and cash flow planning
Ensure adequate funding to meet operational and regulatory requirements
Optimize cash utilization and working capital efficiency
Monitor liquidity ratios and maintain contingency funding plans
2. Funding & Capital Management
Develop and execute funding strategies (debt equity interbank borrowing)
Manage capital structure and optimize cost of funds
Ensure compliance with capital adequacy requirements
Support capital raising initiatives and investor relations
3. Risk Management
Manage financial risks including interest rate foreign exchange and market risks
Develop hedging strategies and risk mitigation frameworks
Monitor exposure limits and ensure compliance with risk policies
Collaborate with risk management and compliance teams
4. Treasury Operations & Investments
Oversee treasury operations including investments securities and portfolio management
Manage relationships with banks financial institutions and counterparties
Ensure optimal return on surplus funds while maintaining risk controls
Supervise trading and treasury systems where applicable
5. Regulatory Compliance & Reporting
Ensure compliance with regulatory requirements (central bank financial authorities)
Oversee treasury-related reporting and disclosures
Maintain adherence to internal policies and governance frameworks
Stay updated on regulatory changes impacting treasury functions
6. Strategic Financial Support
Provide insights on financial markets interest rate trends and liquidity conditions
Support executive leadership in strategic decision-making
Collaborate with CFO and CEO on financial strategy and planning
Contribute to mergers acquisitions and investment decisions
7. Leadership & Team Management
Lead and develop the treasury team
Establish performance standards and accountability
Drive a culture of risk awareness and financial discipline
Support talent development and succession planning
Key Requirements
Education
Masters degree in Finance Economics Business Administration or related field
Professional certifications such as CFA FRM or ACT are highly desirable
Experience
1218 years of experience in treasury banking or financial management roles
Proven experience in senior treasury leadership roles (e.g. CTO Head of Treasury Treasurer)
Strong track record in liquidity management funding and financial risk management
Skills & Competencies
Deep knowledge of treasury operations and financial markets
Strong understanding of banking and financial regulations
Expertise in liquidity capital and risk management
Analytical and strategic thinking skills
Leadership and team management
Excellent communication and stakeholder engagement
Decision-making under complex financial scenarios
Key Performance Indicators (KPIs)
Liquidity ratios and cash flow stability
Cost of funds and capital efficiency
Risk exposure and hedging effectiveness
Compliance with regulatory requirements
Investment returns on surplus funds
Accuracy and timeliness of treasury reporting
Preferred Attributes
Experience in complex or multinational financial institutions
Exposure to capital markets and structured finance
Strong relationships with banks regulators and financial institutions
Ability to operate in a fast-paced highly regulated environment
Compensation & Benefits
Competitive executive salary
Performance-based incentives
Long-term incentives (where applicable)
Executive benefits and allowances
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