ALM Manager

3 weeks ago


West Bowling, United Kingdom Marks Sattin Full time

I am recruiting multiple fixed term opportunities to join the Asset & Liability Management team in the Balance Sheet Control team for a leading Financial Services provider.



Are you ready to apply Make sure you understand all the responsibilities and tasks associated with this role before proceeding.

There are 3 roles across Funds Transfer pricing, liquidity reporting and hedge management data.


One role you will be directly responsible for delivering key aspects of the hedge management project, working with colleagues across the ALM team, wider Finance function and trading team


You will be expected to review the existing reporting approach, develop a plan and deliver transformation of committee reporting to inform and direct senior colleagues with consideration of the internal and external environment.


Requirements


• As a reporting specialist you will require working knowledge of financial risk management

• A strong understanding of the balance sheet, corporate structure and data and reporting landscape are key to success in the role.

• A working knowledge of key market, liquidity and capital risk metrics and risk appetite and a broad understanding of margin reporting and finance and balance sheet management within an organisation.

• Experience of transforming management reporting with control frameworks and automation.

• Familiarity with financial market products, with a broad knowledge of finance and balance sheet management within an organisation.


The other roles will be responsible for leading the transformation of the funds transfer pricing.


The role will be directly responsible for delivering key aspects of the hedge management project, working with colleagues across the ALM team, wider Finance function and trading.


The successful candidate will be expected to document, consult on and develop the funds transfer pricing methodology and mechanism for the organisation to achieve optimum risk transfer, product pricing and margin reporting.


Requirements


• A working knowledge of interest rate risk and liquidity risk management and with a broad understanding of margin reporting and finance and balance sheet management within an organisation.

• An understanding of hedge management activities within a retail financial services setting.

• Experience of documenting financial risk management methodologies and processes.

• The ability to set an ambitious vision and engage proactively with key stakeholders.

• Past experience of delivering change within tight deadlines and utilising technological solutions


The roles are paying up to £65,000 and are 12 month fixed term contracts with entitlements to yearly bonus and attractive permanent benefits and pension contribution


If you are available and interested in Projects and contract opportunities, apply today


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