The Client:
Leading international investment bank, looking to add a Senior Liquidity Risk Professional to their growing team. Reporting directly to the head of risk - the role will offer huge scope right across the risk framework.
The Opportunity:
- Agile working - Office is now officially back open but flexibility will be a massive part of your role
- Enjoy a highly competitive financial package - market leading salary
- Join a successful, dynamic, and growing company with offices across the world
- Work alongside Senior Stakeholders and Partners
- Opportunity to put your own stamp on the compliance framework for the Irish business
Key Duties and Responsibilities:
- Contribute to the ongoing Liquidity and Funding Risk Reporting and Analysis
- Completion and detailed reconciliation of the LCR, NSFR and ALMM Reporting to the CBI
- Drive development of efficient processes and reconciliations to support timely delivery
- Identify and report all potential breaches of limits within the firm's Risk Appetite Statement, CFP and Recovery Plan
- Annual review and update of the ILAAP, CFP and Recovery Plan process & participate in the Liquidity and Funding Risk Identification and Material Risk Assessment process
The Ideal Candidate:
- 7+ years experience risk liquidity and investment firm governance - MIFID, EMIR, MAR etc
- Strong knowledge of LCR, NSFR and ALMM Reporting to the CBI
- Excellent CBI/regulatory experience
- Strong communicator, equally capable of working alone as with a small team - works well with a able to effectively communicate with Board of directors