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Corporate Treasury & Capital Planning– Director; AVP

in Frankfurt, 60306, Frankfurt am Main, Hessen, Deutschland
Unternehmen: PowerToFly
Vollzeit position
Verfasst am 2026-02-14
Berufliche Spezialisierung:
  • Finanz/Rechnungswesen
    Unternehmensfinanzierung, Finanzmanager, Risiko-Analyst, Kapitalmärkte
  • Management
    Finanzmanager, Risiko-Analyst
Gehalts-/Lohnspanne oder Branchenbenchmark: 100000 - 125000 EUR pro Jahr EUR 100000.00 125000.00 YEAR
Stellenbeschreibung
Stellenbezeichnung: Corporate Treasury & Capital Planning– Director (AVP)
Location: Frankfurt

Corporate Treasury & Capital Planning – Director (AVP)

PT-JR029768

We're seeking someone to join our Capital team as a Director in Treasury to support the management of the Firm's European legal entities' capital resources. In the Finance division, we act as a partner to business units around the globe by providing management, analysis and advisory services of the Firm's financial and capital resources.

This is a Director level position (AVP-Equivalent) within our Corporate Treasury & Capital Planning Job Family which is responsible for planning, managing, forecasting and optimizing capital, liquidity and funding resources; governance oversight of Treasury and Capital Planning; setting frameworks, policies and guidelines for appropriate management of these resources; managing regulatory deliverables and exams; managing CCAR/Capital Stress Testing process.

Morgan Stanley is an industry leader in financial services, known for mobilizing capital to help governments, corporations, institutions, and individuals around the world achieve their financial goals.

Interested in joining a team that’s eager to create, innovate and make an impact on the world? Read on…

What will you be doing?
  • Collaborate with a varied group of colleagues in Finance and across the Firm
  • Responsible for and lead a significant set of deliverables, leveraging advanced understanding of Finance functional area, product and/or client segment
  • Proactively identify emerging risks in individual and department work and contribute to strategies for mitigating them
  • Act as a role model and culture carrier;
    Embody and set an example of the Firm's values and hold yourself and others accountable to Firm standards
  • Support the production, enhancement initiatives and governance processes for the Internal Capital Adequacy Assessment Process (ICAAP) for European entities
  • Lead, develop and execute capital optimization projects including capital allocation, non-equity economic capital instruments and legal entity capital structures
  • Manage and present capital related materials for key governance and regulatory forums
  • Identify and implement process enhancements and automation efforts within the Capital Planning and Management area working with broader Finance, Risk and Technology
  • Undertake capital analysis for European entities including the setting of targets and limits, and subsidiary double leverage
  • Work on strategic Treasury projects such as dividends, infusions and restructuring activities
  • Develop the response to senior management and regulatory requests
  • Build a close working relationship with other groups within Corporate Treasury and Capital Planning, as well as across Business Units, Firm Management, wider Finance, Risk, Legal and Operation
What you’ll bring in the role:
  • Advanced understanding of Finance functional area, product and/or client segment and technical skills, as well as of industry and competitive environment
  • Ability to provide positive and constructive feedback and acknowledge efforts of team members
  • Ability to articulate risk and impact to various audiences, and create plans to mitigate those risks
  • Good working knowledge of regulatory requirements in regards to Treasury and capital management activities
  • Good project management skills and ability to pick up new topics quickly on the job
  • Excellent quantitative and qualitative analysis skills, including ability to summarize complex business problems and detailed analysis with clarity and brevity
  • Strong communication and interpersonal skills for interaction with teams across both local offices and globally
  • Advanced knowledge of Microsoft Office products is required, particular focus on Excel and Power Point
  • Experience with implementation of complex financial models in a strategic IT environment is required
  • At least 6 years' relevant experience would generally be expected to find the skills required for this role
WHAT YOU CAN EXPECT FROM MORGAN STANLEY:

At Morgan Stanley, we raise, manage and allocate capital for our clients – helping them reach their goals. We do it in a way that’s differentiated – and we’ve done that for 90 years. Our values - putting clients first, doing the right thing, leading with…

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