Why This Role Stands Out
This hybrid role offers an excellent opportunity to deepen your expertise in liquidity risk within a reputable European corporate banking specialist, with flexible working arrangements in London. If you have a strong background in liquidity risk and thrive on analytical challenges, this position will allow you to significantly contribute to risk management frameworks and gain exposure to regulatory compliance. Apply today to join a dynamic team and advance your career in financial risk!
Quick Overview
Job Description
Our client is a large European Corporate banking, acquisition finance and asset based lending specialist. This role is based in their London Head Quarters and allows flexible working arrangements.
Please note: Due to the nature and complexities of the role, a prior background in Liquidity Risk is a pre-requisite.
Key Responsibilities :
- Maintain and enhance Liquidity and Market Risk frameworks under the oversight of Head of FRM;
- Produce and analyze liquidity, ALM, and market risk metrics & reports, ensure compliance and escalate risks.
- Provide support to the team in monitoring branch’s credit risks and assist Head of FRM in maintaining Credit Risk Framework.
- Support automation of financial risk reporting, using tools like - Qlik Sense, Python, or Excel VBA etc.
- Collaborate with Internal Control to strengthen financial risk-related controls and data accuracy.
- Comply with Group policies (AML, conduct rules, etc.) and actively enhance risk culture via policy updates, training, and cross-team collaboration.
Required Skills & Experience:
- Ideally 5+ years of experience in liquidity risk (1LoD/2LoD) in banking; knowledge of French/EEA/UK regulations.
- Strong analytical, problem-solving, and stakeholder management skills.
- Proficiency in MS Office (Excel, PowerPoint, etc.).
- Ability to manage diverse responsibilities under tight deadlines
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