About this role
<p>Put your expertise to work at KBC Group and take the lead in <strong>policy, models and strategy</strong> for funding and liquidity management. In this senior expert role, you will be responsible for developing frameworks and strategies that <strong>steer the balance sheet towards a solid and stable funding position</strong>. You will also help determine the strategy for KBC's debt issuance and the structuring of SRT .<br> <br>The main mission of Group Treasury is to ensure that KBC's balance sheet is managed in a safe and profitable manner. This includes the following main areas:</p> <ul> <li>ALM / asset and liability management: managing the interest rate position and asset composition of the investment portfolios in order to generate more interest income in a responsible manner.</li> <li>Optimising the composition of the balance sheet, liquidity and financing costs/mix of our subsidiaries and the group.</li> <li>Managing the short-term volatility of the profit and loss account and capital ratios by applying hedge accounting techniques.</li> </ul> <p>The Belgian team works closely with colleagues from the local departments in our other markets to carry out the necessary end-to-end processes – from strategy determination to implementation. At KBC Group Treasury, you will find an <strong>intellectually challenging work environment that offers you a unique insight into all</strong> of KBC Group's <strong>banking and insurance activities</strong>.</p>