Job Title: Liquidity Risk Analyst
We are seeking a highly skilled Liquidity Risk Analyst to join our team. As a key member of our Financial & Strategic Risks Unit, you will contribute to a major process optimisation project involving process redesign, updates to the control framework, and the development of new manuals and procedures to enhance reporting templates and deliverables.
Responsibilities
* Conduct comprehensive testing of automated checks in the Python system to ensure accuracy, reliability, and alignment with process improvement goals.
* Support digitalisation and optimisation efforts related to the monthly liquidity KRI.
* Support the automation and development of more frequent liquidity risk computations (weekly/daily) to meet front office and regulatory needs.
Requirements
* University degree, preferably at postgraduate level, in Finance, Mathematics, Economics, Business Administration or similar fields;
* A minimum of three (3) years of relevant professional experience in finance, such as financial administration and financial risk management.
Key Skills
* Ability to work within tight deadlines, to react swiftly and effectively to new situations in a client-focussed and high-quality service environment.
* Excellent organisational skills with an ability to prioritise.
* Disciplined approach whilst maintaining creativity and lateral thinking towards troubleshooting and problem solving.
* Excellent interpersonal skills for dealing with internal and external counterparts.
* Team player.