Mandatory Desired Domain:
- Excellent Financial reporting / Analytics background, capital market knowledge
- Minimum 1-year previous experience/ internship in Finance reporting within Investment Banking
- Excellent communication skills & ability to communicate ideas concisely and clearly & ability to work in stringent deadlines
- Ability to deliver accurate reports within agreed timelines
- Resolution of queries in a timely and satisfactory manner
- Past working experience in Treasury, Liquidity risk or a Regulatory reporting profile
Technical:
- Must be very good with Advanced excel, word and PowerPoint
- Inquisitive mind-set and extremely good attention to detail
- Tableau, Power BI and Macros knowledge would be an advantage
- IC role responsible for Key Planning and Regulatory Treasury deliverables
- Responsible for preparation, analysis and sign off for Internal Liquidity Stress Model (MCO) or/and Regulatory Liquidity returns (LCR, NSFR, Asset Encumbrance, ALMM & PRA110), along with any external stress tests as mandated by EBA, PRA, JFSA and BaFIN
- Drive the implementation of new / revised Regulatory Liquidity requirements
- Enhance the Liquidity Models to enable Global Treasury to make informed & key decisions
- Provide Subject Matter knowledge and guidance to implement model changes