To lead a team responsible for maintaining and enhancing all control and reporting aspects of liquidity credit and market risk management and policy in respect of the treasury and core bank balance sheet business activity of the organisation. To embed and foster a risk culture by ensuring all liquidity market and credit risk appetite is aligned to business risk appetite and produce comprehensive information to manage and mitigate these risks.
Knowledge, skills and experience required:
Extensive experience in liquidity risk management; extensive experience in market risk management and methodologies; strong knowledge of treasury products (money market, FX, bonds, derivatives etc); experience of monitoring market risk and interest rate risk and thorough understanding of the principles of asset and liability management; proven people management skills coupled with first class communication skills.
Knowledge, skills and experience required:
Extensive experience in liquidity risk management; extensive experience in market risk management and methodologies; strong knowledge of treasury products (money market, FX, bonds, derivatives etc); experience of monitoring market risk and interest rate risk and thorough understanding of the principles of asset and liability management; proven people management skills coupled with first class communication skills.
Please send your CV to angelamccann@prgrecruitment.com
Job Reference: AMC12705
Closing Date: 11-May-2011