Liquidity Risk Reporting Avp
3 days ago
Key Responsibilities:
Reporting to the Director of liquidity risk reporting, you will:
- Support and perform aspects of the monthly reconciliation process of external PRA 110 reporting
- Execute controls and governance around reconciliations;
- Support project work to remediate reconciliations;
- Ensure the right tools and understanding relating to liquidity metrics are in place;
- Perform ‘4 eye’ checks on reports produced by team members for timeliness, completeness and accuracy;
- Actively search for opportunities to continuously improve our processes.
Key Requirements
- Strong Balance Sheet and Finance skills
- Strong understanding of bank control and governance frameworks
- Strong Liquidity Risk/ reporting skills
- Experience in reconciliations
- Accountancy qualification preferred but not required.
- Good understanding of PRA 110 and other Liquidity Risk regulations (Basel III, LCR)
Please contact Lascelles Reid-Barlow at for further information.
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