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CIB Treasury Liquidity And Analytics
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Full-time
- The Corporate & Investment Bank is a global leader across investment banking, wholesale payments, markets and securities services.
- Job DescriptionCorporate & Investment Bank (CIB) Treasury is a critical function within CIB Finance and Business Management.
- It is responsible for managing the liquidity, balance sheet and capital positions of the investment banking businesses, establishing transparent and market-based funds transfer pricing policy, and developing methodologies and metrics to improve the leverage, capital, collateral and liquidity risk management capabilities of the Corporate and Investment bank.
- Additionally, CIB Treasury interacts heavily with Global Treasury in developing stress assumptions, contributing to the resolution plan submission, producing liquidity risk metrics and analysis including intraday aspects; managing CIB balance sheet and leverage ratios; and consolidating management and regulatory reporting.
- Importantly, this role will provide you with exposure and responsibility across varying levels of management and is an excellent opportunity for a candidate who is interested in a strategic view of the CIB’s activity and who has a keen interest in capital markets, liquidity risk management and funding.
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