Liquidity Reporting VP
- Support and enhance the liquidity reporting process through managing the IT, Finance and Upstream data provider relationships.
- Act as a point of contact for IT development and business analysts and assist with on going enhancement cycle releases through leading and managing liquidity reporting UAT test processes.
- Develop and implement complete liquidity controls framework and ensure compliance through periodic control testing.
- Act as a point of contact for governance audits, including regulators and internal auditors.
- Support the on-going enhancement and development of governance processes related to the liquidity reporting project.
- Support wholesale liquidity reporting team by providing oversight over weekly reporting process.
- Manage the process surrounding of consolidation adjustments and review to the liquidity reporting forms.
- Ability to communicate effectively with senior management and various other stakeholders
- Strong Problem Solving ability
- Self Motivated
- Ability to analyse large quantities of data preferably in Access
- Ideally possess an expert level knowledge of Treasury liquidity reporting processes
- Comfortable with managing UAT testing processes in environments undergoing change through IT build-outs
- Capacity to understand the requirements of FSA PS09-16 and Basel III
- An understanding of Financial and Product control environment
Global Investment Bank
Competitive Package
Where specific UK qualifications are required we will take into account overseas equivalents.
Please quote Michael Page reference when applying Job ref:MPGX13231977
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