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Senior Balance Sheet Management Position

3 months ago


London, Greater London, United Kingdom Empirical Search Limited Full time

One of the UK's leading traditional challenger banks have mandated us to find them a senior fixed term contract hire to help manage and run Balance Sheet Management team.

This person will have primary responsibility for the efficient management of the Bank's Liquidity resources as well as being the lead on key BSM related projects
Manage the delivery of the Bank's Individual Liquidity Adequacy Assessment Process (ILAAP), Funding Plan and the liquidity aspects of the Recovery and Resolution plan
Manage and maintain the Bank's Funds Transfer Pricing (FTP) process including proposing and socialising amendments to better drive business behaviour and effect risk-adjusted pricing
Monitor Liquidity daily by identifying and delivering plans to address any forecast shortfalls or surpluses, thereby ensuring that regulatory limits are always complied with and that liquidity costs are minimised within the limitations of risk appetite
Co-ordinate monthly meetings with the business to ensure that balance sheet risks are fully understood, can be managed effectively, and are reflected in BSM modelling and reporting
Continuously develop management information for the Asset and Liability Committee (ALCo) and other business and risk forums and produce and present ad hoc papers as relevant topics and risks emerge
Manage all liquidity modelling, forecasting and management information and drive the continuous improvement of all liquidity related processes
Collaboration with key stakeholders to ensure all models/frameworks satisfy regulatory requirements, best industry practices and Bank's internal requirements
Assess the impact of new products & projects, from a Liquidity and FTP perspective
Develop and maintain Liquidity and FTP models in the bank's forecasting and stress testing software and ensure the models perform according to requirements
Knowledge of the regulatory environment gained through significant experience of liquidity management and/or FTP frameworks within the banking industry
Robust awareness of the control environment requirements within financial services
Knowledge of Quantitative Risk Management (QRM) or similar Asset and Liability Management/Liquidity/FTP forecasting and modelling software
Knowledge of broader Asset and Liability Management principles and techniques
Excellent data analysis and interpretation skills with an ability to explain complex modelling at senior committees
Strong stakeholder management, collaboration, and communications skills – both written and verbal
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Leading challenger bank is recruiting due to growth in their Modelling and Data Analytics team.

It is an ideal opportunity for a financial data modeller, either within banking or a finance related role, to work in a team where analytics and data science are core to the Bank's strategy.

A leading UK bank who has made their mark as being a specialist lender and savings bank are recruiting within the treasury department due the development of a new Asset & Liability Management team, which will form part of a wider Balance Sheet Management team.

The Treasury Analyst will support all aspects of treasury operational activities.

This includes assisting with the development of cash management banking solutions for all business segments of the company and actively managing the liquidity and cash forecasting reporting consolidation process.

The Debt Capital Markets team within the Treasury Division, establishes and manages a dynamic range of secured funding transactions, utilising collateral from several divisions of the Bank.

The team are also responsible for maintaining the Bank's unsecured wholesale funding programmes and utilising these programmes to strategically fund the Bank and Group via unsecured debt issuance.

The Secured Funding Reporting Project Manager will be responsible for the successful implementation of a bespoke securitisation reporting system.