Specialist, Liquidity and Treasury Alm

1 day ago


London, United Kingdom eFinancial Careers Full time

**Overview**
**Overview Of BNY Mellon**:
**Job Purpose**:
The Corporate Treasury Group at BNY Mellon is responsible for managing the liquidity and capital positions of the various subsidiary banks and of the Parent Corporation
The position of Specialist, Liquidity and Treasury ALM is a first line of defense role, responsible for supporting the Head of International Liquidity is maintaining and enhancing the Liquidity Management framework across the International Entities coveringEMEA, APAC and Brazil Regions.
The Specialist, Liquidity and Treasury ALM is based in London and reports to the Head of International Liquidity

**Responsibilities**:
The Specialist, Liquidity and Treasury ALM is responsible for:

- Ensuring that liquidity management practices across the entities are consistent and in alignment with both corporate framework and local regulatory requirements.
- Maintenance and documentation of quantitative analysis for liquidity management across International Entities e.g. Early Warning Indicator (EWI) calibrations, Liquidity Stress Testing (LST) assumptions and related analysis, LCR assumptions and regulatoryinterpretation sign offs.
- Support with the maintenance of the intraday liquidity risk management framework across the regions, including Intraday Liquidity Stress Testing and ownership of related assumptions.
- Preparation and coordination of annual updates to legal entity liquidity policies and Contingency Funding Plans.
- Maintenance of first line liquidity standards and documentation with respect to regulatory and internal / corporate frameworks across International Entities.
- Support with regulatory exams over local liquidity risk management across EMEA.
- Addressing Liquidity related Regulatory, Audit or Second Line findings/actions.
- Ownership of the Individual Liquidity Adequacy Assessment Process (ILAAP) document across applicable entities in EMEA.
- Review and oversight of regulatory and internal liquidity metrics for ensuring compliance with regulatory guidance and minimum requirements.
- Maintenance of liquidity trigger framework for legal entity Recovery Plans including documentation of liquidity related recovery options and preparation of liquidity stress testing for recovery planning process.
- Developing approaches for enhancing measurement and reporting of Liquidity MI.
- Ensuring issues are escalated and cascaded appropriately and support in mitigating any associated risks.
- Build a good understanding of the governance framework across the regions, including escalation requirements.

**Requirements**:

- Bachelor/Master degree or equivalent qualification. Degree in math, engineering, statistics, computational finance or economics preferred. MBA, CFA, or CPA/CA preferred.
- At least 4-6 years of banking experience in a Treasury or Risk Management function with focus on liquidity management, planning and forecasting.
- Demonstrate good stakeholder management.
- Good understanding of liquidity regulations and previous experience of interpretation of liquidity regulations.
- Past experience of advising business on liquidity related matters and regulatory impacts.
- Experience of working with teams in different locations.
- Superior organisational skills.
- Good analytical, project management and report writing skills.
- Proficiency in MS Office (Excel, Word, PowerPoint).

**What we can offer you**:

- Challenging, fun and supportive environment
- 25 days holiday (in addition to Bank Holidays) plus opportunity to purchase up to 5 extra days
- Highly competitive benefits package including pension and private medical cover



  • City Of London, United Kingdom Paragon Bank Full time

    A renowned UK bank in London is seeking an ALM Analyst. The role involves analyzing liquidity exposures and developing balance sheet indicators while supporting Treasury projects. Ideal candidates will have a degree in Mathematics or Finance, strong analytical skills, and experience in Bank Treasury. This position offers a hybrid working model with generous...

  • Treasury Manager

    1 week ago


    London, United Kingdom MARKET TALENT Full time

    We are working with a successful Treasury team at a highly rated international bank based in London. They are seeking an experienced Treasury Manager with liquidity risk, ALM and FTP experience from the banking industry You will be the second to the Head of Treasury in suppporting the following: - Assist the Head of Treasury in the management of capital...


  • London Area, United Kingdom Rothstein Recruitment Full time £60,000 - £120,000 per year

    Senior Treasury Risk Analyst – IRRBB – ALM – BankingExcellent opportunity opens for aTreasury Riskprofessional to join a growingInternational Bank'sLondon office. You will play a crucial role in supporting theTreasury Risk Managerin deliveringeffective second-line oversightof all aspects of Treasury risk, includingasset and liability management...


  • London, United Kingdom Empirical Search Full time

    Role Description Contribute to implementing the Market Risk policy and accompanying standards on managing Interest Rate Risk in the Banking book, including working with the businesses to review business assumptions and key risk indicators Propose trades to hedge the interest rate risk that arises on the business balance sheets and ensure that the...


  • London Area, United Kingdom JSS Search Full time

    My client is looking for an entry level Treasury ALM Analyst to join their established banking business. This role is based in London but offers hybrid working flexibility.Responsibilities:Produce cash flow forecastsAnalyse liquidity and IRRBB metricsAssist production of regulatory documentsPreparation of management informationInvolvement in projects across...

  • Alm Risk Analyst

    1 day ago


    London, United Kingdom eFinancial Careers Full time

    This is primarily a risk management, modelling, and measurement methodology role and will suit a quantitative analyst who has a strong track record of project delivery, financial system implementations and system reporting functionality leverage. The ALM Risk Analyst will need to ensure that the appropriate ‘check and challenge’ as second line on all...


  • London, United Kingdom Empirical Search Full time

    Role Description Prepare regular and ad-hoc treasury and management information reports for ALCO meetings and as requested by members of the Treasury team and other teams we work closely with. It is important to ensure reports are timely and accurate. Assist in the preparation of liquidity forecasting, Interest Rate Gap analysis and other Treasury reporting....

  • ALM Analyst

    23 hours ago


    Greater London, United Kingdom Paragon Banking Group PLC Full time

    Join to apply for the ALM Analyst role at Paragon Banking Group PLC Let’s grow together! A Platinum Investors in People employer and an award-winning UK bank, focused on growth. Our customers include savers and businesses across the UK and we use our specialist expertise to help them achieve sustainability. If you’re an experienced ALM Analyst looking...


  • London, United Kingdom Empirical Search Full time

    Role Description As a key contributor in the team you will identify interest rate risk exposures on the balance sheet and make recommendations to Treasury Management on how to mitigate the risk. This includes making proposals to optimise the bank’s balance sheet position and managing central hedging strategies, such as structural hedging. Role Requirements...

  • Treasury Manager

    3 days ago


    London, United Kingdom Empirical Search Full time

    Role Description Lead the end-to-end production and delivery of the ILAAP document, coordinating across Finance, Risk, Treasury and senior management Ensure alignment of the ILAAP with the firms risk appetite framework, business strategy and regulatory expectations Maintain a strong governance and documentation process Conduct scenario analysis and stress...