Posted By
Posted in
Banking & Finance
Job Code
144155
A leading global investment bank is looking for candidates for their Corporate Treasury team. The candidates have to be from an investment banking background to be eligible.
Job Responsibilities:
- Produce key risk management metrics that are used to manage day-to-day risks
- Develop and implement global and regional liquidity risk management and funding policies
- Monitor liquidity risks relating to the firm’s business activities, including trading, financing, and operational activities
- Develop and implement liquidity and stress testing models
- Size and manage the firm’s liquidity pool
- Manage various secured and unsecured funding programs, such as repo funding, term bonds, and bank deposits, in partnership with the Securities Division
- Manage and optimize firm / customer inventory and derivatives collateral
- Optimize the level and composition of the firm’s capital base relative to its risk profile
- Analyze new business initiatives and products to assess their liquidity risks and funding and capital requirements
- Interpret and respond to new regulations that have an impact on liquidity, funding and/or capital
- Create presentations related to liquidity, funding and capital for discussion with Board of Directors, senior management, counterparties/clients, ratings agencies and regulators
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Posted By
Posted in
Banking & Finance
Job Code
144155