Funding Liquidity Specialist
6 days ago
Job Description- Are You Someone Who Can
- Analysing and identifying shortfalls or weaknesses in Bank’s internal liquidity and funding frameworks.
- Contributing ideas and making proposals on the redesign of the internal liquidity and funding models and frameworks.
- Support with the development frameworks using respective methodologies to facilitate asset and liability management, funding and liquidity planning and capital management solutions.
- Design and implementation of processes to facilitate asset liability management, funding and liquidity planning and stress testing and capital management.
- Review internal processes and controls against leading Liquidity practices and industry frameworks, identify gaps in design and execution, and communicate issues and recommendations to leaderships.
- Conduct testing and validating of the LCR, NSFR, Basel, Liquidity Coverage Ratio reporting.
- Thorough knowledge on collateral management and uncleared margin rules.
- Build Liquidity tools that enable the efficient utilization of capital and liquidity resources, consistent with group expectations.
- Leading initiatives under Liquidity Reporting Program (one of Treasury’s top priorities) which aims to improve timeliness of liquidity reporting.
- Working closely with traders on funding requirements and reporting teams to assist with the continuous improvement of process.
- Preparing analysis for senior management, assisting with responses to regulatory queries, and drafting of Groups contributions to regulatory submissions.
- Leading various efforts on the redesign of the Bank’s internal liquidity and funding frameworks including defining, managing and executing deliverables in partnership with the Group Treasury, Liquidity Risk Management, Finance Reporting teams.
- Working closely with Traders to recalibrate the internal liquidity and funding models.
- Working closely with peers in the other major Treasury hubs to ensure consistency of model development and sharing of best practices and ideas in particular with UMR Regulations - Qualifications: A honours degree in finance or financial mathematics
- Experience : 2 years experience in a Treasury or Markets environment
- Attributes:
- Financial markets expertise
- Strong Analytical skills
- Detail oriented
- Strong understanding of financial regulations (LCR, NSFR, UMR)
- Strong risk management mindset
- Able to deal with conflict and stress of a trading environment
- Independence and self motivated- You will have access to:
- Opportunities to network and collaborate
- Challenging working
- Opportunities to innovate- We can be a match if you are:
- Curious & courageous - you're driven by always wanting to know more and learn more and you're brave enough
- Obsessed with mastery - you know what it takes to become good at what you do and are constantly pushing yourself to do it
- Love putting our clients at the forefront of what you do Job Details
14/11/25
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