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London, Greater London, United Kingdom https:jobs-redefined.cositemap Full timeJob DescriptionThis is a key role within the Risk Management organisation, responsible for overseeing the implementation of regional liquidity risk management frameworks and ensuring overall liquidity risk is in line with the Firm's risk appetite.The successful candidate will have a strong quantitative background and experience in Treasury and/or...
Treasury Liquidity Risk Manager
2 months ago
As a key member of the Liquidity Analytics team, you will be responsible for assessing, communicating, and developing our management of Funding and Liquidity risk across the Group. This role sits within the fast-paced Treasury Markets area and reports to the Treasury Markets Director.
Key Tasks- Produce F&L analytics, including liquidity metrics, investment compositions, variance analysis, trending, horizon scanning, and presentation to key stakeholders.
- Develop and use data and analytical tools to model how liquidity and funding impacts the Group, exploring better ways of presenting information, handling data, identifying trends, absorbing and developing new concepts, and drawing conclusions.
- Make real-time decisions on business F&L risk management, senior manager escalation, and analytics development.
- Engage with key stakeholders, including Group Risk, other Treasury Markets desks, and facilitate discussion/drive action at F&L Forums with key peers.
- Strong analytical and data skills, with an ability to absorb concepts, problem solve, and develop solutions.
- An interest in data analytics, including handling data, manipulating it, and drawing conclusions. Experience with statistical techniques and SQL, VBA, Power BI/Tableau is an advantage.
- A real interest in Treasury and the principles behind F&L, as well as understanding of the balance sheet/key businesses and the F&L risk inherent within them.