TREASURY LIQUIDITY RISK ANALYST jobs in UNITED KINGDOM, United Kingdom

£67,500 - £75,000 ➕ | | About the role: We are hiring a Treasury Liquidity Risk Analyst (6 month fixed term contract), who will be responsible... You will be responsible for: Developing and presenting liquidity and funding risk assumptions used for the Liquidity and Funding risk...

Monzo

and analysing reporting in a timely manner, ideally in a banking or Treasury environment. The Liquidity and Product Risk...This is a fantastic chance to join Nationwide’s Liquidity and Product Risk Reporting function, at a time when the team...

Nationwide

About this opportunity Are you an experienced analyst with experience in Liquidity Reporting and Treasury? Day... reporting. What you'll need Treasury background with an understanding of liquidity risk. Good understanding of Excel...

Marks Sattin

delivering changes to reporting or forecasting, ideally in a banking or Treasury environment. The Liquidity and Product Risk...This is a fantastic chance to join Nationwide’s Liquidity and Product Risk Reporting function, at a time when the team...

Nationwide

, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages the firm's financial resources... liquidity, funding and interest rates risk frameworks Collaborate with revenue divisions to manage risk for various liquidity...

Goldman Sachs

various regulatory returns, primarily monthly liquidity returns including ALMM and LCR and quarterly regulatory returns..., such as Basis Risk and FSA017. In addition, the role holder will support the production of Bank of England statistical returns...

Close Brothers Group

with a notional value of over £10bn, reporting into the Assistant Treasurer. This is a broad and exciting Treasury Analyst front... and scope to help shape the direction of our Treasury team. What you will be doing as Treasury Analyst? Responsible...

Pertemps

and cover for the Senior Treasury Analyst. DUTIES AND RESPONSIBILITIES  Assist the day to day liquidity management... for the daily cash management and administrative tasks of the Treasury function. This will cover cash management processes...

Global Payments

. Role Description As a Senior Group Treasury Analyst, you'll oversee cash management, financial modeling, and funding... for other roles within the Group Treasury Team. Analyse financial data, including liquidity and working capital items and provide...

Airswift

Project description The Business Analyst will work with Moody's Credit Risk team of UK Based Investement Bank... and work collaboratively with Country Finance, Treasury, Group Liquidity Regulatory reporting and BAU teams to understand...

Luxoft

Project description The Business Analyst will work with Moody's Credit Risk team of UK Based Investement Bank... and work collaboratively with Country Finance, Treasury, Group Liquidity Regulatory reporting and BAU teams to understand...

Luxoft

Project description The Business Analyst will work with Moody's Credit Risk team of UK Based Investement Bank... and work collaboratively with Country Finance, Treasury, Group Liquidity Regulatory reporting and BAU teams to understand...

Luxoft

for all UK Entities. This includes management of cash / working capital, foreign exchange risk, liquidity investments and payroll... with the US treasury function and direct management of the Senior Treasury Analyst. What You'll Take On This role...

Take-Two Interactive

Job Advertisement: Market Risk Analyst – Commodities Trading (Metals) Location: London About Us: Join one of the... Analyst – Commodities Trading (Metals) Key Responsibilities: Daily Analysis: Analyse traded positions, inventory, risk...

Barclay Simpson

Job Advertisement: Market Risk Analyst – Commodities Trading (Energy) Location: London About Us: Join one of the... Analyst – Commodities Trading () Key Responsibilities: Daily Analysis: Analyse traded positions, inventory, risk, VaR/SVaR...

Barclay Simpson

concepts, including stress-testing, value-at-risk, liquidity adjusted VaR and scenario analysis. Strong understanding..., Africa and Asia). They are looking to onboard a Middle Office Analyst to further strengthen the London team across LNG, Gas...

Selby Jennings

be joining within MSSOT FX Metals & Treasury is responsible for Cash & Liquidity Management (CaLM) with Cash Management... is to optimize cash resources effectively, reduce funding cost and minimise intraday liquidity risk. A single instance...

NConsulting