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Role overview

The responsibilities of the Treasury & Portfolio Management Analyst will include:

  • Contributing to a risk management framework for the firm's capital, liquidity and interest rate risk and for Operational, People, Legal and Reputational risk within Treasury.
  • Assisting the Treasurer to create a planning, forecasting and stress testing framework to ensure that management and the shareholder have a clear view of capital and funding requirements.
  • Analyse and manage the Treasury P&L and costs
  • Inputting data into Excel spreadsheets in order to analyse and manage the firm's balance sheet
  • Make suggestions on balance sheet and data optimisation

The successful applicant

The ideal Treasury & Portfolio Management Analyst will have:

  • A degree in a numerical subject (an accountancy qualification would also be a plus)
  • Understanding of credit risk, loan covenants, and portfolio risk management
  • Understanding of bank balance sheet and accounting
  • Understanding of bank capital framework, liquidity risk and interest rate risk.
  • Some experience in a Financial Services institution

 

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