
Corporate Treasury – Liquidity Management Analyst/Associate
- London
- Permanent
- Full-time
- Develop and maintain an understanding of liquidity regulations and stress testing methodologies.
- Manage liquidity for EMEA legal entities using your expertise.
- Analyze daily liquidity positions and funding requirements.
- Produce and distribute daily MIS to key stakeholders.
- Conduct value-added analysis of medium and long-term liquidity trends.
- Collaborate with internal clients and stakeholders across various teams.
- Supporting the team in the interpretation of regulatory liquidity reporting requirements including, but not limited to, the LCR, NSFR and PRA110 alongside related policy work and reviews.
- Create monthly and quarterly reports for TCIO management.
- Assess business initiatives and their impact on liquidity and funding.
- Support ad hoc internal and regulatory initiatives.
- Experience in financial services with a focus on liquidity management and treasury.
- Ability to operate under scrutiny and collaborate across seniorities.
- Excellent analytical and presentation skills for complex issues.
- Strong communication skills for coordination across business lines and regions.
- Ability to excel under pressure and prioritize multiple tasks.
- Proficiency in leveraging technology for data analysis and presentation.