About this role
: 264657 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. As a Manager within International Banking Treasury, you will support the Director in delivering analytical frameworks and insights that inform key treasury decisions across Scotiabank’s international operations. This role focuses on balance sheet management, liquidity, funding, capital, and hedging strategies, while enhancing treasury performance analytics. You will work closely with International Banking, Finance, Risk, and Group Treasury in a fast-paced, evolving environment. Is this role right for you? In this role, you will: Deliver high-quality treasury analytics supporting balance sheet management, liquidity planning, funding strategies, capital optimization, and investments Assess treasury performance, including Funds Transfer Pricing (FTP) and treasury-related P&L impacts, and provide insights to senior management Develop quantitative frameworks and metrics to monitor treasury exposures, performance, and reporting to executive management Support balance sheet management and hedging strategies to optimize net income and protect interest margins Define data requirements and quantify exposures across liquidity, funding, and capital activities at both unit and consolidated levels Provide treasury-related analysis and advice to business lines and support resolution of treasury issues Collaborate with international treasury teams to enhance operating efficiency and share best practices Ensure compliance with regulatory requirements, internal policies, and governance standards across jurisdictions Do you have the skills that will enable you to succeed? We’d love to work with you if you have experience with: Treasury or treasury-related experience within banking or financial services Strong knowledge of balance sheet management, liquidity, funding, capital, and hedging strategies Solid understanding of capital markets, fixed income securities, and interest rate derivatives Advanced analytical skills, with experience developing models, frameworks, and performance metrics Strong financial and business acumen, with the ability to synthesize complex data into actionable insights Excellent communication and stakeholder management skills, with the ability to influence across teams and geographies Proficiency in Microsoft Office and experience with analytical or programming tools is an asset Spanish language skills or working knowledge is required. What’s In It for You? A high-impact role within International Banking Treasury Exposure to complex balance sheet, liquidity, and regulatory challenges across multiple jurisdictions Opportunities to develop technical expertise in treasury analytics, and capital optimization Collaboration with senior leaders and cross-functional teams across the Bank A dynamic, fast-paced environment that supports continuous development and growth