Liquidity Management Associate

1 month ago


London, Greater London, United Kingdom BTA Full time
Job Title: Corporate Treasury - Liquidity Management Associate

Job Summary:

We are seeking a highly skilled Corporate Treasury - Liquidity Management Associate to join our team at BTA. As a key member of our Treasury and Chief Investment Office (TCIO), you will be responsible for managing liquidity across our EMEA entities, including interpretation and implementation of liquidity regulations, oversight and approval of liquidity regulatory returns, and day-to-day management of liquidity.

Key Responsibilities:

* Develop and maintain a deep understanding of all existing and proposed funding and liquidity-related regulations and internal stress methodologies, including ECB, PRA, and other EMEA regulators' implementations of the LCR, ALMM, and NSFR rules.
* Review and manage liquidity day-to-day across multiple subsidiaries and branches across EMEA.
* Coordinate with middle office and technology teams to implement new regulations or internal methodologies.
* Engage with regulatory agencies in the interpretation, advocacy, and application of regulations that impact funding and liquidity management framework and practices, including coordination and review of the Firm's responses to consultation papers on policy-related matters.
* Assess and address the impact of regulatory changes on funding and liquidity management.
* Prepare and review the Firm's Pillar 3 disclosures related to funding and liquidity.
* Review regulatory returns related to liquidity for accuracy of policy interpretations and related applications.
* Review and approve new business initiatives to ensure the resulting funding and liquidity risk profile is acceptable and within the firm's liquidity risk appetite tolerances.

Requirements:

* Financial services industry experience with a focus on liquidity management, balance sheet, business analysis, and treasury experience.
* Ability to operate in an environment with a high level of scrutiny and collaborate effectively with a range of internal and external stakeholders across different levels of seniority.
* Excellent analytical and presentation skills and the ability to convey complex issues succinctly.
* Strong communication skills and ability to coordinate across various lines of business, legal entities, and regions.
* Ability to excel under pressure, prioritize effectively across multiple tasks, and bring tasks to closure.

About BTA:

BTA is a leading financial institution with a strong presence in the EMEA region. Our Treasury and Chief Investment Office (TCIO) is a division within the Firm's Corporate Sector that is independent of the Corporate & Investment Bank and all customer-facing lines of businesses. TCIO's core mandate is to manage the Firm's liquidity, structural interest rate, and foreign exchange risks. In addition, it manages the wholesale funding and capital raising activities for the firm, as well as the daily cash position. The group oversees the Firm's funds transfer pricing policies and works closely with the various lines of business in establishing the principles of how funds are valued across the firm.

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