Liquidity Risk, VP, Tier1 Investment Bank recruitment
Responsibilities
• To support the global effort to develop and implement liquidity risk framework and lead the alignment of global and local liquidity risk frameworks.
• Particular focus will be on understanding the inter-relationships between global and local frameworks and understanding the local regulatory landscape and local market conditions across entities when implementing Global concepts at a local/regional level.
The role would suit a strong team player with the ability to initiate and drive change and a keen interest in exploring global and local liquidity risk management issues.
Experience
• Minimum 4 years in a Treasury Department or relevant experience in an investment bank
• Must have active experience in liaison with business managers, IT, Finance and Operations within investment banks
• Project based experience is ideal not but essential
• Experience in dealing with regulators would be viewed favorably but not necessary
• Ability and experience to organise and lead across different time zones.