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Responsible for overseeing the cash management of our client's global Nostro network, ensuring that reporting and escalations are completed accurately and promptly.
We are seeking a competent Treasury Operations Project Delivery professional who is well-versed in the banking industry. This role requires proficiency in banking and financial services, with a focus on treasury operations and project delivery.
Daily processing of workflows generated by the Front Office traders and dealing with any resulting queries, paying particular attention to any potential Operational Risk issues. Be supportive of any ad-hoc issues. Provide guidance to non-Ops Areas, relating to settlement issues.
Lead on developing and implementing funding strategies, conduct risk assessments, perform credit applications execute forex and interest rate activities.
Reporting into the Head of ALM you will have responsibility for Liquidity and IRRBB Risk as well as counterparty and market risk as the business works towards it's ambitious growth targets.
Contract role for a Risk Manager to cover Liquidity Risk, IRRBB risk, Market Risk and Counter party Risk.
Our client is looking for a Treasury Risk Manager, reporting into the Head of Treasury in London. The successful candidate will oversee treasury operations and treasury risk management (liquidity & market risk mostly).
Accountable for creating regulatory reports and submitting data to regulatory bodies, overseeing regulatory reporting and treasury management systems (such as ALMIS / COBALT), and assisting in fulfilling the firm's capital, liquidity, funding, and IRRBB strategies.
The newly created Funds Transfer Pricing role is a pivotal position for this international bank, supporting the Treasury, Finance and Operations departments with the FTP process.
Working as part of Treasury & Corporate Finance functions in a newly created role doing securitisation analysis, reporting and working on financial models. Open to full time or reduced hours applicants.
The Securitisation role entails execute analysis (70%), deliver reporting (20%), and getting involved with company wide Transformation projects. The role will also support the business to expand their investor pool.
This Liquidity Reporting role reports into the Head of Finance. The core aspects of the role encompass delivery of regulatory reporting for the entity, specifically, this role delivers prudential capital regulatory reporting covering CoRep core, Leverage Ratio, Asset Encumbrance and Large Exposures.
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