Troocoo have partnered with a motivated and prominent customer-owned bank. they are seeking a Senior Liquidity Analyst to support the Balance Sheet Manager of the bank.
In this position you will be accountable for managing the liquidity needs and asset portfolio of the bank. Ensuring day to day cash flow needs can be met is the priority. You will be in a prominent role and a crucial member of the Treasury team.
Your responsibilities:
* Responsible for the effective management of the liquidity stock
* Creating balance sheet strategies and recommendations
* Manage the investment funds, taking into account cash flow requirements, duration and emerging market conditions
* Monitoring credit reviews of the banks counterparties
Experience:
* 5 years experience in a similar role within treasury or market risk
* Experience managing and optimising the liquidity stock between operations and stressed conditions
* Experience developing investment strategies for liquid asset portfolio
* Previous experience with ALM systems such as QRM system is highly regarded but not essential
The successful candidate will enjoy some working from home options, an inclusive leader who will develop your technical skills and knowledge whilst enjoying state of the art offices and a great location.
For more information, please enquire by emailing Luke Traynor at luke.traynor@troocoo.com or make an application today.