Funding and Liquidity Manager

1 month ago


London, Greater London, United Kingdom Close Brothers Group Full time
About the Role

We are seeking a highly skilled and experienced Funding and Liquidity Manager to join our Treasury division at Close Brothers Group. As a key member of our team, you will be responsible for providing strategic guidance on funding and liquidity management, ensuring the bank's financial stability and regulatory compliance.

Key Responsibilities
  • Develop and implement the bank's funding strategy, working closely with senior management and stakeholders to ensure alignment with business objectives.
  • Manage the bank's liquidity position, ensuring sufficient liquidity to meet obligations and regulatory requirements.
  • Collaborate with the Debt Capital Markets, Savings and Financial Planning teams to ensure the funding strategy is achievable and sufficient to support planned asset growth.
  • Produce the Bank and Group's ILAAPs, ensuring timely submission to regulators and adherence to regulatory requirements.
  • Manage the book of work and development plans for the Funding and Liquidity team, providing coaching and guidance to team members.
Requirements
  • Significant funding and liquidity risk management experience in financial services.
  • Experience of managing a team, including organization and planning for the team's workload and projects.
  • Stakeholder management, including with senior management.
  • Excellent communication and presentation skills.
  • Highly analytical and numerate, with experience in modeling and data analysis.
What We Offer

Close Brothers Group is a leading UK merchant banking group providing lending, deposit taking, wealth management services, and securities trading. We offer a dynamic and inclusive work environment, with opportunities for professional growth and development. As a Funding and Liquidity Manager, you will have the opportunity to work with a talented team of professionals, contributing to the bank's financial stability and success.



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