![]() ![]() Experience building and maintaining EUC tools is preferred.Technical skills such as SQL, VBA, or MS Access in conjunction with excellent knowledge of MS Excel functions.prepare monthly market and liquidity risk materials for senior management and risk committees.perform stress tests and review stress scenarios and assumptions for market and liquidity risk.Help implement risk policies and procedures, reporting and governance to effectively control the inherent risks of bank operations, including the application of regulatory guidance and best practices.Liaise with Treasury, Technology, and Combined US Operations (CUSO) teams as needed and respond to various adhoc requests.Knowledge of pre-existing and new regulatory guidance related to the business, such as Enhanced Prudential Standards/Reg.Assist in the management of daily liquidity risk reporting work flow.Held streamline the market and liquidity risk analysis processes.Solve complex issues by troubleshooting and using problem-solving skills.Participate in group-wide projects and support timely risk management project implementations.Provide hands-on risk management technical skills and knowledge of risk management regulatory requirements and industry practices.International Bank is seeking a Market and Liquidity Risk Management professional at either Associate or AVP level ![]()
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