An international bank based in London are currently seeking a Market and Liquidity Risk Analyst to support the Head of Market and Liquidity Risk in maintaining the bank’s risk management framework.
The successful candidate will participate in ILAAP, Recovery Plan and stress tests, monitor market and Liquidity Risk profiles and present daily and monthly management information for senior management meetings.
Applicants must be able to demonstrate knowledge of UK focussed liquidity and capital regulations (Basel III, LCR and NFSR) and Money Market, Fixed Income, Foreign Exchange and Treasury products.