Manager, Liquidity Risk Management recruitment
Our client is seeking a successful candidate with experience in Treasury and Liquidity Risk exposure in Financial Services to:
? Analyze and prioritize availability of global sources of liquidity
? Assist with development and enhancement of relevant stress scenarios to evaluate the firm's liquidity needs vs. viability of liquidity sources (incl. linkage with Dodd Frank Recovery and Resolution Plans)
? Lead development of regulatory and management reporting such as stress early warning indicators and liquidity sources availability estimates
? Assist with improving, testing and maintaining crisis operational readiness plans
Required:
? Experience in a regulated environment
? Deep understanding of how to identify, measure, monitor control financial services liquidity risks
? Ability to work in a fast paced environment while dealing with evolving regulatory framework
? MBA or progress towards
? International financial services experience
Qualifications Include:
? Bachelors degree in Finance, Economics or related field
? 5+ years experience in same or related field
? Financial services experience in Treasury, Capital Markets, Finance /or Liquidity Risk Management
? Strong communication demonstrated across boundaries and multiple layers of the organization
? Strong research skills – ability to decipher detailed policy / regulatory guidelines or market trends data into key action items and develop recommendations
? Demonstrated ability to communicate process improvement through analytics, modeling and independent critical thinking
? Strong MS Office skills
? Energetic, self-motivated, sense of professional curiosity
The candidate will work to understand emerging regulatory requirements, management needs and market practices to evolve GE Capital’s contingency funding planning.