Advance Search

Browse Jobs

Liquidity Risk Assurance (AVP level equivalent)

Posted 25 days ago

  • London, Greater London
  • Any
  • External
  • Expires In 2 months
One the worlds leading Banking Group’s is looking for a Senior Analyst / AVP level liquidity Risk SME to help with building out the Assurance function within Treasury Risk. Based in London, the role holder will work in a function responsible for controls design and effectiveness testing on Capital & Liquidity activities, covering both Financial and non-Financial Risk processesRole DescriptionSupport in the definition and scoping of the Treasury Risk Assurance function, promoting and implementing synergies and efficiencies while securing an optimal and best in class control environmentChallenge the first line control and risk owners to ensure that risk management activities are working effectively. This includes the following activities for Capital & Liquidity RiskProvide subject matter expertise, advice, guidance, and effective challenge to the Risk and Control OwnersReport on the risk and control profile, including support in reviewing and testing the operating effectiveness of the control framework. Support in scoping of analysis and checks where gaps are identified in the control frameworkSupport definition of the Risk and Control Library, including minimum control standards, with input from Risk Owners, and Control Owners, specifying key risks and key controls and providing guidance on continuous monitoring expectationsRecommend Risk and Control Assessment (“RCA”) scoping, and challenge where this is not appropriately applied in the RCAChallenge Risk and Control Owners on risk and control management, including inherent risk, residual risk, control effectiveness ratings, issues, actions and eventsSupport in targeted assurance reviews and deep dive of end-to-end processes across high risk metricsMonitor compliance of the minimum requirements applicable to the management of capital & liquidity risk, as set out in relevant policiesWork with the business to understand the impact of emerging risks that require changes to controls, resources and business operations to ensure they remain within appetite as well as Internal audit to understand the outcomes of their reviews and how this affects the control environmentRole RequirementsRelevant Treasury and Control knowledge and experience working in multiple legal entitiesDemonstrable experience of challenging views with courageous integrity to do the right thingAbility to work in fast-paced environment with proven ability to handle multiple outputs at one timeStrong interpersonal and negotiation skills, with experience in a complex global environmentKnowledge of compliance proceduresThorough understanding of Bank activities, products, processes and systemsExperience of working with Operational Risk, Internal and External AuditExcellent business writing, communication, presentation and influencing skillsHas developed a high level of professionalism and competency which helps to determine solutions around appropriate risk measures, risk processes, risk monitoring and managementCommunication and interpersonal skills, including the capacity to articulate the case for risk management in the language of business
First Name
Last Name
Telephone Number
Email Address
Upload CV
(PDF or Word)
We will process your CV and personal information to assess your suitability for a role you apply for, or more generally for roles we have if you have not identified a role if you email us your CV directly. If we wish to consider you further for the role or for other roles, we will register your personal information on our database and contact you. We may contact you from time to time about other roles we believe will be of interest to you. Your personal information will be securely held. For more information please refer to our Privacy Policy by clicking here .Leading challenger bank is recruiting due to growth in their Modelling and Data Analytics team. It is an ideal opportunity for a financial data modeller, either within banking or a finance related role, to work in a team where analytics and data science are core to the Bank’s strategy.Join a bank for a global role focussed on delivering Capital Regulatory reporting enhancements, via implementing and maintaining an effective New Product Approval Process. This role will involve regular interaction with the front office trading teams.A leading UK bank who has made their mark as being a specialist lender and savings bank are recruiting within the treasury department due the development of a new Asset & Liability Management team, which will form part of a wider Balance Sheet Management team.The Treasury Analyst will support all aspects of treasury operational activities. This includes assisting with the development of cash management banking solutions for all business segments of the company and actively managing the liquidity and cash forecasting reporting consolidation process.
#J-18808-Ljbffr
Apply