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Renita Frank

Research Associate at Antal International Network

Last Login: 07 July 2015

1343

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114

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Job Code

220913

Analyst/Sr Analyst - Liquidity Risk - Asset & Liability Management - BFSI

1 - 5 Years.Others
Posted 8 years ago
Posted 8 years ago

Job title: FSRM - Liquidity Risk

Looking for people with ALM (Asset and Liability Management), Liquidity, Funding, FFTP (Funds Transfer Pricing), Basel III, stress testing, Interest Rate Risk, Cash Management, Collateral Management, Liquidity experience..

Job Summary:

We currently are seeking a highly motivated Senior to support client engagement teams, work with a wide variety of clients to deliver professional services, and lead business development activities on strategic and global priority accounts.

Our Financial Services Risk Management (FSRM) practice focuses on financial services risk management, trading, regulatory, quantitative, technology, operations and accounting backgrounds. The breadth of experiences of FSRM professionals enables the practice to coordinate the delivery of a broad array of risk management services to capital market participants throughout the world in a well integrated manner.

Within FSRM, the Liquidity Risk team advises sophisticated financial services clients on a range of risk management services in the treasury area including; asset liability management, liquidity risk management, capital management funds transfer pricing (FTP) and other treasury activities.

The opportunity is now! If you are interested in being part of a dynamic team, serving clients and reaching your full potential

Key Responsibilities:

- Establish relationships with client personnel at appropriate levels. Consistently deliver quality client services. Monitor progress, manage risk and ensure key stakeholders are kept informed about progress and expected outcomes. Stay abreast of current business and industry trends relevant to the client's business.

- Demonstrate in-depth technical capabilities and professional knowledge. Demonstrate ability to assimilate to new knowledge. Possess good business acumen. Remain current on new developments in advisory services capabilities and industry knowledge.

Qualification, Certifications, Education:

- Bachelor's degree and approximately 2 years of related work experience; or a graduate degree and approximately 1-2 years of related work experience or MBA

- Chartered Financial Analyst (CFA) preferred

- Experience in treasury and capital markets risk management practices, processes and products

- Knowledge of a broad range of treasury instruments and the complex financial products (including all short and medium term money market instruments, foreign exchange, and interest rate derivatives) used to manage risk

- Strong mathematical and problem solving skills and the ability to present complex information in a clear and concise manner

- Functional knowledge related to asset-liability management, interest rate risk, funding and liquidity risk, collateral management, behavioral modeling, stress testing and scenario analysis, maturity mismatch, prepayment option modeling, sedimentation modeling, etc.

- Understand leading practices and regulatory guidance in Treasury governance, processes, procedures and internal control environment

- Leadership as well as proven project management skills

- Strong written and verbal communication skills for report writing, client presentations, and project management

- Valid driver's license in the US and a valid passport required; willingness and ability to travel nationally and internationally to meet client needs.

Candidates Interested Can send the profiles.

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Posted By

user_img

Renita Frank

Research Associate at Antal International Network

Last Login: 07 July 2015

1343

JOB VIEWS

114

APPLICATIONS

42

RECRUITER ACTIONS

Job Code

220913

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