Treasury and Liquidity Management Job in London

Treasury and Liquidity Management Job in London. Apply for the latest London jobs in Accounting/Financial/Insurance.

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Treasury and Liquidity Management Job in London

Job Description
Client Snapshot:

Exciting opportunity to work with a tier 1 bank who have been established for and renowned for their great services over the years. This bank is at the forefront of innovation and transformation for their clients.

Overall Responsibilities

The ideal candidate for this role Will demonstrate a broad understanding of IL management practices and an awareness of the business drivers, including payment queuing practices, that contribute to the use of that liquidity. This role will be instrumental in developing and presenting readiness to all stakeholders, including regulators. An understanding of payments, securities settlement and clearing services activities is also desired.

The candidate will ideally have had exposure to the changing landscape of payments and asset settlement processes around the world as well as the actions of competitors that influence PCS offerings and corresponding liquidity usage.

Primary responsibilities:

Participate on noted program teams to attain IL operating model and monitoring objectives

Assist with design and documentation of IL business requirements covering monitoring,

forecasting and escalation processes as well as systems requirements necessary to

support the new operating model

Analyse IL usage trends, impacts upon reserves and related asset optimisation opportunities

Contribute to the redesign and implementation of a new IL operating model across locations

In support of instant payments, accelerated asset settlements and continuous (24/7)client solutions.

Acquire and analyse data in support of IL usage, capacity and optimisation initiatives

Monitor industry developments impacting PCS practices and evaluate potential for IL impacts

Create and standardise analytics that identify specific FMI, client or segment supply

and usage trends.

Qualifications:

Experience in Treasury liquidity management roles.

Payments, clearing and settlement product management and/or operations

experience preferred.

Developed skill base with respect to liquidity metrics, analytics and regulation.

BS in Finance, Economics, Accounting, Engineering or Math, MBA preferred

Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
Treasury and Liquidity Management
Job Type: Permanent, Full Time
Location: London
Category: Accounting/Financial/Insurance
City: London
County: London
Country: United Kingdom
Salary: £70000 – £100000/annum
Benefits:

Treasury and Liquidity Management Job in London

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