This is an opportunity to join a global investment bank to manage the risk and reg reporting across Treasury and Capital Management.
You will have complete ownership of core regulatory capital, liquidity, large exposures and leverage calculations and associated daily MI reports, as well as participation in all new product approval processes to ensure capital and liquidity processes accurately reflect new business activity.
You should have a strong academic background, as well as being CIMA or ACCA qualified If you have managed a team previously, that will be a strong plus
To be considered, you should have in-depth knowledge of the Capital Requirements Regulation (CRR) and the latest Capital Requirements Directive (CRD IV) for banks and investment firms
For full details, please contact Ian Bailey at Harrington Starr