An opportunity has arisen for a strong risk analyst to join a specialised team focusing on funding & liquidity risk.
Duties cover: - Identify, quantify, monitor and manage forecasting for all funding and liquidity risk using risk methodologies - Writing and developing new risk reports, analysing trends and presenting at senior management level - Monitoring various risks against limits and regulatory requirements Your experience must include: - Strong proven asset and liability risk management experience covering a range of markets and instruments gained within international banking or asset management - Good understanding of mathematical models for pricing and valuing products