Financial Risk Officer - Treasury and Liquidity
Job description
Our client with offices in Cardiff and Newport is looking for a Financial Risk Officer - Treasury, Liquidity and Interest Rate Risk, to join their team. Our client is an innovative and exciting organisation with strong growth plans, so there has never been a better time to join.
They are a values-based employer and care about their people; therefore, you'll receive excellent benefits such as a 10% contributory pension, 37 days annual leave, and private healthcare.
What will you be doing?
As a Financial Risk Officer, you will be responsible for delivering comprehensive assessments, reviews, and analytical reports in areas such as:
Treasury, Liquidity, and Interest Rate Risk
Your role will involve reviewing financial risk policies and models to provide assurance and improve the effectiveness of controls. You will need to have had involvement or familiarity with the ILAAP and other liquidity and interest rate risk-related regulations, policies, frameworks, and models.
In this role, you will work closely with colleagues across Financial Risk, Enterprise Risk, Regulatory Reporting, Finance, Treasury, ALM, Credit, and Operations to ensure the Society's strategic objectives are met with robust risk management practices.
Both roles will require you to have the following:
1. Previous experience as a Senior Analyst/Senior Associate in a financial risk management role or in an external auditing role within the financial services industry.
2. Qualified Accountant, with a degree in accountancy, finance, economics, or a related field.
Apply today for more information. #J-18808-Ljbffr