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Job Location | London |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent,full-timeB |
The primary areas of responsibility for the role are as follows: Reporting and monitoring of liquidity risks on a daily and monthly basis according to prescribed Liquidity Risk Policies. Production and review of all liquidity stress testing results. Produceperiodic liquidity risk reporting for senior management and committee review, and to support financial and regulatory disclosures. This function will support the development and implementation of Liquidity & Capital policies, procedures and control documentationfor legal entities across the EMEA region. Contribute to Corporate Treasury initiatives that require engagement with multiple stakeholders across multiple teams. Any other tasks as required to suit the need of the business Skills/Experience Required: Ideallypost graduate qualified or degree educated in a relevant subject (Financial Services or Sciences preferred). Experience in financial institutions funding or accounting functions. Familiarity with a broad array of financial markets including, but not limitedto, foreign exchange, interest rates and repo/reverse repo. Knowledge of the COREP EMEA regulations around Capital and Liquidity, CRR/Basel 3/4, BIPRU. High level of competency in Excel, and a knowledge of Access Excellent numeracy and analytical Skills. Strongattention to detail and ability to follow through on tasks A proven track record of delivering successfully to demanding deadlines. Excellent time management and organisational skills, with ability to prioritise effectively. Self-motivated individual who canwork as part of a team or on individually on tasks with minimal direction. Excellent communication skills, bath written and spoken. Honesty and integrity in all aspects of their work