Liquidity Risk Management Specialist
3 weeks ago
Marex is a leading global financial services platform, providing essential liquidity, market access, and infrastructure services to clients in the energy, commodities, and financial markets.
The Group offers a comprehensive range of services, including Market Making, Clearing, Hedging, and Investment Solutions, as well as Agency and Execution. With a strong presence in major metals, energy, and agricultural products, Marex executes around 50 million trades and clears 205 million contracts annually.
Headquartered in London with 36 offices worldwide, the Group has over 1,800 employees across Europe, Asia, and America.
About the RoleMarex is seeking an experienced Liquidity Risk Manager to join the London Risk team. The successful candidate will be responsible for developing, implementing, and maintaining the firm's liquidity risk management framework.
The ideal candidate will have significant experience in liquidity risk management, including knowledge of risk management principles and methodologies.
Key Responsibilities- Establish, develop, implement, and maintain the firm's liquidity risk management framework, policies, and procedures.
- Develop and maintain stress testing capabilities, analytics, system support, and reporting infrastructure.
- Provide coverage for the Market Risk Management of the Commodities business line.
- Identify potential risk issues and work with stakeholders to implement effective risk management strategies.
- Collaborate with the Risk Management team to integrate liquidity risk with overall enterprise risk management efforts.
- Work closely with Treasury, Finance, and Business Units to align liquidity risk management with the institution's funding and business strategies.
- Stay up-to-date with regulatory developments and ensure compliance with relevant regulations.
- Bachelor's degree in finance, economics, or related field.
- Minimum of 5 years of experience in liquidity risk management, with exposure to the businesses in a Financial Institution.
- Demonstrable understanding of how various business lines impact the liquidity requirements of a Financial Institution.
- Experience of Commodities Market Risk Management.
- Strong analytical and quantitative skills, with the ability to identify, analyse, and explain complex risk issues.
- Excellent communication and interpersonal skills, with the ability to work collaboratively with relevant stakeholders.
- An understanding of global financial markets, products, and key liquidity risk drivers.
- Knowledge of regulatory requirements related to liquidity risk management.
- Ability to work independently and manage multiple tasks simultaneously.
- Excellent verbal and written communication skills.
- A collaborative team player, approachable, self-efficient, and influences a positive work environment.
- Demonstrates curiosity.
- Resilient in a challenging, fast-paced environment.
- Excels at building relationships, networking.
- Ability to work independently to drive projects.
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