We are helping a well-known UK wholesale bank, with a focus on emerging markets, look for a senior Manager level addition to the team to support the Treasurer. They will primarily be managing the key prudential documents and regulatory reporting processes. This bank’s offices are in central London, they offer a hybrid working model, and very competitive benefits package.
Role Description
* Preparation of key treasury documentation including ICAAP, ILAAP & Recovery Plan.
* Summarize the impact of regulatory developments relating to liquidity and capital and make sure changes are communicated to key internal stakeholders.
* Submission of all regulatory reports including COREP, FINREP and BoE reporting.
* Improvement of existing processes to resolve outstanding issues and enhance accuracy of the reporting process.
* Act as secretary for the monthly ALCO and key board members.
* Preparation of daily and monthly MI packs for various committees such as ALCO and Board Risk.
* You will also get involved in Asset deployment, Funds Transfer Pricing (FTP) and structural hedging.
Role Requirements
* Experience of preparing ILAAPs, ICAAPs and/or Recovery Plans.
* Experience in the financial services industry, at least part of which must have been in either the Treasury or Regulatory Reporting function of a bank.
* Strong understanding of liquidity and capital regulation.
* Analytical and detail-focused with an accounting qualification being a big plus.
* Strong written and verbal communication skills.
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