Head of Prudential Risk (FTC)
تفاصيل الوظيفة
One the UK's fasted growing corporate and retail banks are looking for an experienced prudential risk specialist for an initial 6-month fixed term contract to provide oversight of liquidity, capital and market risk management. This person would be the key prudential risk contact in second line and may well end up being needed for longer than the initial 6 month termRole DescriptionDay to day oversight over prudential risks including capital management, liquidity management and treasury and market risk managementReviewing relevant ALCO papers and providing 2LOD commentary where requiredUndertaking the annual review of risk appetite (liquidity, IRRBB etc)Supporting the annual review of the ICAAPSupporting ongoing horizon scanning and reporting of regulatory and market developmentsRole RequirementsExperience of working in similar sized banks in either the first or second lineTechnical knowledge and experience in prudential risk (ideally a focus on liquidity risk management)Effective team working skills First Name Last Name Telephone Number Email Address Upload CV (PDF or Word) We will process your CV and personal information to assess your suitability for a role you apply for, or more generally for roles we have if you have not identified a role if you email us your CV directly. If we wish to consider you further for the role or for other roles, we will register your personal information on our database and contact you. We may contact you from time to time about other roles we believe will be of interest to you. Your personal information will be securely held. For more information please refer to our Privacy Policy by clicking here .A leading challenger bank who has made their mark as being a specialist lender and savings bank are recruiting within the treasury department for a Treasury Dealer. This role would suit an experienced Treasury Dealer looking for a broad role with a great deal of reach and stakeholder management throughout treasury and other areas within the bank.Tier one bank seeks a VP with Treasury Capital Management experience to join their highly regarded 2nd line team in LondonA great opportunity for an experienced senior Treasury Analyst specialising in cash management, cash forecasting, bank and bank account management to work at a fast paced, rapidly growing, increasingly complex financial services company with a sophisticated treasury function. The role will be a hands-on daily execution role. The role will be responsible for performing daily cash forecasting, daily tracking of actuals, monthly reporting against budget, daily approving payments, daily moving cash between entities as needed, reporting to ALCO, executing daily cash investments, updating the liquidity documents, being an SME on the cash, working with the product control team and Head of Treasury Operations.One the UK's leading matched building societies have mandated us exclusively to run the search for a new senior hire to own the financial risk oversight framework and oversee the management of all financial risks across the society. The role will be based in the North of England and report directly to the CRO
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