Beschreibung
For our client, a well renowned Swiss/International Bank, we are looking for a Liquidity and Funding Specialist with business analysis understanding and broad banking experience.
For this requisition we can only consider candidates already living in Switzerland and holding a valid work permit or candidates willing to relocate ASAP (only from the EU).
Your responsibilities:
- Develop key components of a Liquidity and Funding framework including a policy framework, assessment of standalone L&F models, establish the risk appetite of the entity, develop required tools/MIS
- Set up processes to monitor, forecast and steer the entity's liquidity in close collaboration with Group ALM to remain in the firm's risk appetite
- advise senior management on liquidity related topics with regards to the entity's liquidity position as well as overall regulatory and market developments
- lead projects to challenge and improve existing liquidity management processes and models
- collaborate with regional treasury teams on local liquidity management, modelling and limits
Your Profile:
- interest and insight in treasury related matters and capital markets, especially liquidity management
- BASEL III
- understanding of capital markets, strong product knowledge and familiarity with banking balance sheet analysis
- proactive and independent working style with a strong drive to learn and succeed
- excellent command in English (oral and written). German an advantage
- education in finance, economics or other relevant field; master's degree or professional
- qualification highly desirable
- strong analytical skills required combined with a good understanding of the business environment
- project experience
You are:
- an experienced professional with at least 5 years of relevant experience
- an excellent communicator and presenter with an ability to influence stakeholders
- a great collaborator with various stakeholders on complex qualitative and quantitative topics