Liquidity Risk Manager (Treasury)

An exciting new position has become available to work for a retail organisation in London. The role will encompass a range of Treasury and Risk related activities including; cash management, Interest Rate Risk Management (IRRBB)/ PV01, Liquidity Risk Reporting (FSA047 / FSA 048), and balance sheet management.

A unique position, and the opportunity to learn and develop. Candidates must have experience in either Interest Rate Risk or Liquidity Risk.

If you are interested in discussing this further, please get in touch with Josh Lawson from Eames Consulting - josh.lawson@eamesconsulting.com

 

September 13, 2013 • Tags:  • Posted in: Financial

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