Liquidity Risk Reporting

Barclays

Chennai, India
Liquidity risk reporting
Funding and liquidity strategies
Regulatory requirements
The role involves verifying the bank's sufficient funds to meet obligations and developing strategies to manage the bank's liquidity position

Job Summary

  • The role involves verifying the bank's sufficient funds to meet obligations and developing strategies to manage the bank's liquidity position.
  • Accountabilities include developing and implementing funding and liquidity strategies, analyzing regulatory impacts, and managing intra-group funding arrangements.
  • The position requires strong communication skills, excellent Microsoft Excel proficiency, and an understanding of balance sheet and finance processes.

Matching Summary

The role involves verifying the bank's sufficient funds to meet obligations and developing strategies to manage the bank's liquidity position.

Skills & Requirements

Must-have

  • liquidity risk reporting
  • funding and liquidity strategies
  • regulatory requirements
  • stress testing methodologies
  • balance sheet and finance processes
  • control and governance frameworks

Nice-to-have

  • continuous improvement
  • collaboration across locations
  • team leadership and development
  • Barclays Values and Mindset

Key Requirements

  • CA/CWA/CS/MBA/Finance/Commerce/Economics background
  • Good communication skills, written and verbal
  • Good presentation skills
  • Very good Microsoft Excel skills
  • Understanding of Balance Sheet and Finance processes
  • Understanding of Control and Governance frameworks
  • Reporting work experience in a Bank / Financial Institution

Work Rights

Not specified

Tailored Resume

Cover Letter