Head of Liquidity Risk recruitment

Roles:

To maintain and continuously enhance short-term liquidity risk policies and practice guides

To manage policy and practice guide exceptions

To monitor and formulate the response to emerging regulatory and other external developments.

To be the primary point of contact on short-term liquidity policies for other areas of Risk Division and the bank eg Group Treasury, ALM

To maintain the liquidity risk component Risk Framework

To maintain and develop Group liquidity risk MI

To support regional and country risk managers to implement policy and practice guides locally, taking into account local regulatory requirements where necessary.

To coordinate GMR’s input into ILAA, and SLRP processes. 

Required:

Demonstrable understanding of liquidity risk principles

Demonstrable understanding of treasury, wholesale banking and trading book products and markets

Excellent and proven analytical skills

Effective presentation and influencing skills

Ability to work effectively across the bank’s footprint