The main responsibilites will include:
Manage, monitor and execute the funding plan and liquidity risk position within Group policies
Set the size of the liquidity buffer to be managed and set the targets and limits
Analyse stress scenarios for the funding plan
Maintain compliance with regulatory liquidity requirements
Experience
10 years experience in a leading global bank
Strong understanding of the balance sheet structure, funding mix and composition of universal banks. Understanding of both banking book and trading book accounting; the main inputs to regulatory capital determination; leverage; funding and liquidity requirements and financial risk management.
Expert knowledge of the liquidity regulatory metric calculation methodologies
Experience running governance frameworks to manage liquidity