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CFO, Cash Management (International Bank)

15-17 Years
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  • Posted 7 hours ago
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Job Description

We are currently partnering with a leading international bank who have a strong presence in the Asia region

They are looking to hire a commercial-finance minded CFO with responsibility for their Cash Management/Payments business.

Please contact Michael Durkin - email your cv directly in word format with job reference no. JOB-15964 to [Confidential Information]

Please note that due to the high number of applications only shortlisted candidates will be contacted. If you do not hear from us in the next 5 business days we regret to inform you that your application for this position was unsuccessful.

EA License : 16S8131
Recruiter License : R2090716

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Key responsibilities

  • end P&L, balance sheet management, flash reporting, and forecasting accuracy across regions.
  • Drive financial performance and target delivery through rigorous performance management, cost discipline, KPI transparency, and active participation in regional and global business reviews.
  • Shape and execute business strategy in partnership with the Business Head, leading mid- and long-term strategic planning aligned to financial outcomes and capital optimization (including RoTE improvement).
  • Lead corporate planning and governance processes, including annual planning, target setting, robust challenge with Group FP&A, Treasury and regional teams, and ensuring alignment with overall strategy and approved investment frameworks.
  • Provide senior advisory and insight leadership, delivering executive-ready analysis, identifying revenue and return levers, assessing liquidity, interest rate and FTP impacts, and influencing decision-making through data-driven recommendations.
  • Strengthen strategic alignment and market positioning by partnering with Treasury on FTP and incentivization frameworks, monitoring industry trends and competitor benchmarks, and driving innovation and best practices to enhance competitive performance.

Role requirements

  • 15+ years relevant experience in performance management or business finance partnering, gained in financial services/banking sector
  • Strong Treasury/Balance Sheet fundamentals (including Liquidity Risk, Interest Rate Risk, FTP)
  • Prior experience working with Cash Management or Payments business line within a Banking is highly desirable

More Info

Job ID: 143896267