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The Senior Manager - Liquidity and Market Risk role, for an Investment Bank, in London.
Client Details
Mid-cap Investment Bank, London, who are hiring a Senior Manager - Liquidity and Market Risk.
Description
Profile
A successful Senior Manager - Liquidity and Market Risk should have circa 5-7 experience in ALM, Liquidity and Capital Market activities in particular fixed income products markets.
* Sound understanding of market risk, liquidity risk and stress testing.
* Good understanding of UK regulations around liquidity and ALM.
* Degree in economics/finance/numerical or a quantitative discipline.
* Experience in risk management or direct experience in the financial industry.
* Strong numerical and computational skills required particularly in VBA and Tableau, Power BI would be a plus.
* Excellent interpersonal and communication skills required.
Ability to work in a fast-paced trade floor environment with multiple priorities
Job Offer
If you are ready to take on this exciting challenge as a Senior Manager - Liquidity Risk and Market Risk, apply today to join a leading organisation in risk and compliance.