Join a global bank for a global role focussed on delivering Liquidity reporting enhancements for the group’s UK consolidated reporting. This role will involve a regular interaction with the front office trading teams. Initially as a 12 month Fixed Term Contract, there is a strong case to extend further and/or go permanent.
This role will incorporate strategic work around Liquidity Regulatory change with a need to understand the banks businesses and products and how they impact regulatory metrics, reporting and associated controls. A deep knowledge of financial markets product expertise will be used to assess new products for regulatory reporting requirements. Furthermore, you will be responsible for the strategy, execution and delivery of assurance with regards to data sourcing, calculations and reporting of regulatory metrics that are generated within the Global Financial Regulatory Reporting team.
- Excellent knowledge of global traded banking product
- Confidence to communicate and extract key information from technically minded front office traders
- Previous Liquidity reporting or Product control background, with knowledge of liquidity regulatory reporting templates
- Understanding of the liquidity risks associated with a banks trading business and how this impacts its funding requirements