Liquidity Risk Management Contractor

Treasury
Published
28th February 2019
Location
London, United Kingdom
Category
Job Type
Contract
Salary
Competitive

Description

A Liquidity Risk Management subject matter expert opening has arisen in the treasury team of a Global Markets and Investment Bank who are exponentially growing and are looking to offer a broad coverage of hot topic assignments on a contracting basis for at least six months, possibly more.

Your initial responsibilities will cover:

  • Development of stress testing models across global markets and investment banking products
  • Significant ownership of internal and external stress testing
  • Liquidity forecasting and daily commentary on liquidity drivers and trends
  • Development and maintaining liquidity management policies ensuring that risk is recognized, measured and managed
  • Senior stakeholder management

Key Skills:

  • Ability to prioritise workloads and schedule
  • Well organised with good attention to detail

Requirements:

  • Have at least circa five years’ relevant treasury experience
  • Very strong knowledge of investment banking and global markets product knowledge
  • Very strong knowledge of liquidity and liquidity risk management experience
  • Educated to degree level in a relevant discipline (e.g., Mathematics, Finance, Accounting, Financial Risk Management, Statistics, Computer Science)

For more information please contact taniaborges@bsgmroup.com

 

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