Treasury Liquidity Manager
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I am an experienced Treasury Liquidity Risk Manager that has Delivered an additional £155m benefit to resource through expert liquidity risk management, model development & Regulatory reporting. I actively monitor liquidity and market risk metrics, secured & unsecured credit lines, legal entities & group liquidity, and I leverage my expertise in liquidity stress testing, intra-group funding, scenario assumption, PRA 110 reporting and cash forecasting to add value to the businesses I have worked in. My innovative model improvements have boosted overall liquidity ratios and strengthened key KPIs.
An experienced Treasury Liquidity Risk Manager with a strong ability to develop key liquidity risk models and processes for daily monitoring of liquidity and market risk metrics, as well as management of legal entities & group liquidity/funding requirements. My expertise encompasses liquidity stress testing, investment asset management, regulatory compliance, FX cash position monitoring, market risk, implementing stress testing scenarios, forecasting and intra-group funding. I successfully developed and implemented major Liquidity model improvements that resulted in a £155m boost to resources, increased overall liquidity ratios, and strengthened key KPIs.