Liquidity Planning & Coverage, Treasury - Director
United Kingdom - London -
2 years ago
Treasurer
Full Time
Job Description
Analyze and communicate liquidity requirements and risk drivers from transactions, new products, and across businesses. Internal and regulatory metrics include the Internal Liquidity Stress Test (ILST), Liquidity Coverage Ratio (LCR) and the Net Stable Funding Ratio (NSFR)
Support EMEA regulatory requests from the PRA, ECB and other regional regulators including data analysis, liaising with other groups and presentation of findings
Provide Subject Matter Expertise to the Frankfurt Treasury team in relation to Liquidity planning
Involvement in the drafting and development of Internal Liquidity Adequacy Assessment Process (ILAAP) submissions for the regulators
Preparation and analysis of data for various Firm governance committees
Support/execute ad hoc requests/inquiries to senior management and aid in decision making process
Research, analyse and recommend solutions around data issues and perform necessary steps to resolve
Build close links with other key stakeholders across Finance, Tax, Legal, Operations and Technology
We offer:
Work in the Finance department of one of the world’s top tier Financial Institutions and gain first-hand insight into the business.
A competitive salary.
Open minded and welcoming environment, where your ideas are taken seriously.
Continued professional development based on your career interests.
The ability to grow and shape your own career.
Required Knowledge, Skills, and Abilities
Good working knowledge of Corporate Treasury, in particular liquidity and funding risk.
Previous working experience in these areas preferred
Excellent quantitative and qualitative analysis skills
Excellent communication and interpersonal skills for interaction with teams across both local offices and globally
Well-developed analytical capabilities, including ability to summarize complex business problems and detailed analysis with clarity and brevity
Adept at working in a fast-paced, high-energy level environment
Advanced knowledge of Microsoft Office products
Experience with data management preferred
Experience with Treasury and Funding systems a plus
Aptitude for detail and a strong commitment to accuracy
Degree qualification or equivalent
Post graduate qualification / studying towards: ACT, CFA, ACA, MBA or equivalent beneficial