Job Views:  
698
Applications:  199
Recruiter Actions:  4

Job Code

819998

Analyst - Liquidity Reporting/Treasury Management - BFSI

1 - 2 Years.Mumbai
Posted 4 years ago
Posted 4 years ago

Skill Set : Liquidity Reporting, LCR, NSFR

Plus exp in tool like Tableau, Power BI, Alteryx, ( Any 1 )

VBA, SQL, Macros (Any)

Role & Responsibilities of the position in brief:

- Daily Monitoring and Reporting to Senior Management on key liquidity risk drivers through internal and external stress testing models (Maximum Cumulative Outflow (MCO) and Liquidity Coverage Ratio (LCR) for JFSA/EBA/MAS respectively.

- Develop and maintain controls to validate with reasonable certainty the accuracy and completeness of the data input into the calculations

- Analyse and explain key day on day drivers for movement's in liquidity position of the firm through various liquidity risk metrics

- Collaborate with regional treasury to deliver on mandatory regulatory change agenda

- Manage and lead the team and further develop the teams over all responsibilities.

- Ensure that the team meets all the requirements and deadlines relating to the reporting activities and ensure that the necessary protocols are followed

Skills:

Mandatory Desired

- Domain : Financial services industry exposure / good working knowledge in Financial reporting function Proficiency in bringing issues to closure by keeping all the relevant stakeholders informed.

- Experience in Treasury, Treasury Reporting

Other related activities

- Understanding of financial products Self-starter, problem solver and ability to work with minimal supervision

- Technical Excel system skills and ability to learn Finance specific systems Strong analytical skills

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Job Views:  
698
Applications:  199
Recruiter Actions:  4

Job Code

819998

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