Capital and Leverage Management - VP at Barclays
London E14, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

09 Nov, 25

Salary

0.0

Posted On

09 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Banking/Mortgage

Description

As a Capital and Leverage Management VP, you’ll play a key role in supporting the firm’s capital planning and stress testing activities. You’ll manage the outcomes of stress testing exercises, oversee regulatory feedback, and help implement changes that strengthen the firm’s capital framework. Your analytical contributions will be key to shaping planning activity, ensuring decisions are backed by robust evidence and well-grounded insight.
You’ll also support the development and delivery of the Group Capital Plan, providing detailed analysis and facilitating discussions around capital strategy across the business. This is a high-impact role where your ability to combine technical expertise with cross-functional collaboration will help shape the firm’s financial resilience and long-term success.
To be considered for this role you will have previous experience in a capital position. You will have excellent communication skills (both written and verbal) and business partnering skills. A professional finance / treasury qualification (e.g. ACA, CIMA) will be advantageous.
You may be assessed on key critical skills relevant for success in role, such as risk and controls, change and transformation, business acumen, strategic thinking and digital and technology, as well as job-specific technical skills.

ACCOUNTABILITIES

  • Development and implementation of strategies to manage the bank’s capital position, including setting of capital targets, development of capital plans, and monitoring of capital adequacy.
  • Optimisation of the bank’s capital structure to support the bank’s growth and profitability objectives, including management of the bank’s exposure to regulatory capital requirements.
  • Allocation of capital to business units and projects based on risk-adjusted returns and other financial metrics.
  • Preparation and provision of regular reports on the bank’s capital position, capital allocation decisions, and stress testing results to senior colleagues, risk committees, and regulatory authorities, and effective communication of capital management strategies and risk considerations to relevant stakeholders.

How To Apply:

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Responsibilities

To optimise the bank’s capital structure to support its growth objectives, manage risk exposure, and comply with regulatory requirements by analysis of bank’s capital position, development of capital allocation strategies, and ensuring that the bank maintains adequate capital levels under various economic scenarios.

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