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Funding and Liquidity Strategist
2 months ago
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 funding strategies to support the bank's growth and financial objectives.
- Manage and maintain the bank's funding plan, ensuring it remains aligned with regulatory requirements and the bank's risk appetite.
- Produce and submit ILAAP documents to regulatory bodies, ensuring accuracy and compliance.
- Collaborate with senior management and stakeholders to ensure effective communication and stakeholder engagement.
- Manage and develop the Funding and Liquidity team, providing coaching and guidance to ensure high performance.
- Significant experience in funding and liquidity risk management in financial services.
- Proven track record of managing teams and leading projects.
- Excellent communication and stakeholder management skills.
- Highly analytical and numerate, with strong modelling and data analysis skills.
- Commercially aware and results-driven.
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. If you are a motivated and experienced professional looking for a new challenge, we encourage you to apply.