Senior Manager - Liquidity and Market Risk
The Senior Manager - Liquidity and Market Risk role, for an Investment Bank, in London.Client DetailsMid-cap Investment Bank, London, who are hiring a Senior Manager - Liquidity and Market Risk.DescriptionProvide oversight of London branch Liquidity and Market Risk Management. Support the delivery of a roadmap to strengthen local liquidity risk management.Provide daily limit monitoring, review and challenge ad-hoc limit changes and annual business review. Review and challenge liquidity stress testing methodologies and assumptions.Provide oversight of Treasury and ALM activities, review interest rate risk in the banking book (IRRBB) and structural FX risk. Produce and review liquidity and treasury risk MI for senior management and ALCO committee.Support the build-out of operational resilience for Treasury/Liquidity risk oversight across time zones. Coordinate with regional stakeholders to ensure risk issues and emerging concerns are escalated appropriately and managed consistently.Strengthen and maintain local liquidity risk management governance including framework review, policy addendum.Work closely with global Risk teams to algin best practice and ensure local framework and practices meet internal expectation of the Bank and external expectations from regulators.ProfileA successful Senior Manager - Liquidity and Market Risk should have circa 5-7 experience in ALM, Liquidity and Capital Market activities in particular fixed income products markets. Sound understanding of ..... full job details .....
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