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Head of Liquidity Risk Management
2 months ago
ETRA Talent is seeking an experienced and dynamic Head of Liquidity Risk to lead their Treasury Risk function.
Job SummaryThis role provides an exciting opportunity to shape and drive second-line management of liquidity and market risks, including interest rate risks, within a high-performing and fast-paced environment.
Key Responsibilities- Oversee daily monitoring of liquidity risk metrics, investigate discrepancies, and recommend corrective actions.
- Analyze treasury risk exposures, including market (interest rates), liquidity, and operational risks.
- Prepare and present detailed treasury risk analysis to external stakeholders (regulators, rating agencies) and internal senior management and boards.
- Own the Treasury Risk Technology Plan and oversee related change initiatives.
- Evaluate and enhance the risk and control framework across both 1st and 2nd lines of defence.
- Communicate material risk issues to senior management, including the Global Head of Risk/CRO.
- Collaborate on approval of new products, considering relevant treasury risk factors.
- Ensure regulatory compliance and act as a role model for integrity, reflecting company values.
- Extensive experience in second-line Treasury Risk management, ideally within a capital markets environment.
- Comprehensive knowledge of financial markets, and familiarity with regulated environments.
- Excellent communication skills with the ability to engage and influence at all levels.
- Demonstrated strategic agility, resilience in fast-paced environments, and a collaborative team player.
- Strong leadership skills with a proven ability to drive initiatives and manage change.
ETRA Talent is a leading global capital markets firm, and this role provides an exciting opportunity to shape and drive second-line management of liquidity and market risks.