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Liquidity Risk Manager

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Salary Competitive
Type Permanent
Location City of London
Sector Finance & Accountancy
Job Reference T81/HEB/28445
Contact Harry Brookmyre
Date posted 27-03-2018

BRUIN Financial is currently working with a global Financial Services firm, which has more than $A450 billion in assets under management, is looking for a Liquidity Risk manager to join the team. The successful candidate will primarily assist in managing and enhancing key components of the liquidity and funding calculation and reporting for the equities business.

As a Liquidity Risk manager your responsibilities will include:
• Oversight and evaluation of trades for liquidity compliance
• Data analysis to drive optimisation of funding requirements and usage
• Day-to-day management of liquidity reporting and funding calculation
• Maximise operational efficiency by identifying, championing and streamlining processes

The successful incumbent requires:
• Notable experience in the Treasury or Finance functions in the Financial Services Industry
• Strong understanding of Equity and Fixed Income derivatives
• Sound numerical and excel skills
• Excellent verbal, written and interpersonal skills

For more information on the role then please contact Harry Brookmyre on 02031453382 or harry.brookmyre@bruinfinancial.com.

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Associate, Consultant