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VP, Treasury Liquidity Management and RRP

4 months ago


London, United Kingdom Empirical Search Limited Full time

Regional Treasury role in a global bank focusing on active liquidity management whilst partnering with the business to formulate reliable plans for recovery and resolution.
Role Description

  • Working with this regional entity you will have two distinct roles for the global markets business; playing a key role in the implementation of liquidity transfer pricing, maintenance of liquidity related management actions in stress, and the wider liquidity risk assessment in the entity ILAAP; and, contributing to the Recovery & Resolution Planning (RRP) for the delivery of liquidity aspects of the Group Recovery Plan (GRP), implementing and managing Liquidity related Resolvability Assessment Framework (RAF) requirements, and other areas of Finance and Risk on the wider Liquidity Stress Testing and the Enterprise wide Risk Management Framework (ERMF).
Role Requirements
  • Knowledge of a global markets business and the Liquidity risk profiles of their associated securities products
  • Experience of advising a trading desk on how to structure trades from a funding perspective
  • In depth understanding how a bank funds its balance sheet; how Treasury charge the business for such funding (Funds Transfer Pricing) and the regulatory parameters it is required to meet
  • Experience with model documentation of liquidity risk drivers
  • Demonstrable experience of Stress Testing and Recovery & Resolution planning
  • Demonstrate a strong risk control mindset
  • Strong modelling and analytical skills
  • Advanced stakeholder management skills with proven ability in engaging and positively influencing Senior Managers and other Subject matter experts within a complex environment
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