Senior Manager - Liquidity Reporting
About Our Client
Our client is a Leading Global Investment Bank, having operations in over 50 countries across the world. They are known for the excellent work culture and are looking for a seasoned Liquidity Reporting professional.
Job Description
Reporting to the VP - Capital Adequacy and Liquidity Reporting, your key responsibilities will include:
Build expertise upon liquidity metrics and its reporting requirements laid down by external regulator & the group
Deliver key liquidity metrics : Asset & Liability report, Operational Cash flow projections, Advances to Core funding ratio, FSA 047-048 enhanced mismatch report, Core non-core deposits calculations, Liquid Asset buffer calculations
Conceptual understanding of Trading and Banking Book Products and their behaviouralisation in stressed scenarios with respect to bank's liquidity risk profile
Delivering stressed scenario reporting (organization specific and market wide) for the Group as part of monthly submission
Leading a team responsible for delivering daily/monthly liquidity reports for sites across the globe
The Successful Applicant
You are a CA with 6+ years of experience in Liquidity Reporting. Knowledge of banking and trade products is preferable along with prior team management experience. Strong written and verbal communication skills including the ability to present information to senior management would be required
What's On Offer
This is an excellent opportunity to work within a niche space in a growing setup. The right candidate will be awarded with market leading compensation.
Didn’t find the job appropriate? Report this Job