Liquidity Risk Manager, Group Treasury recruitment
Responsibilities
• Develop, manage and maintain the Liquidity components of the bank’s Recovery and Resolution Plan
• Become a SME on liquidity aspects of Recovery and Resolution Planning
• Co-ordinate with businesses across the Group to assess and quantify liquidity actions and determine the factors affecting the ability to execute in a stress
• Own the liquidity sections of the plan, ensuring information is accurate, complete and updated as appropriate
• Deliver the liquidity sections of the plan and own intra-Group and external communication as appropriate
• Understand the relationship of the plan to the Liquidity Risk Management framework and ensure consistency with other components of the framework
Experience
• Liquidity Risk Management or other relevant Treasury experience
• Sound understanding of Financial Institution balance sheets
• Strong understanding of financial instruments
• Proven analytical skills and ability to assimilate large amounts of information
• Excellent interpersonal skills and ability to persuade
• Team orientation