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Liquidity Risk Manager

  • Location: London
  • Salary: £65-75k base + bens + bonus
  • Job type: Permanent
  • Job reference: SS/167778
  • Sector: Banking, Banking
Job Description

City based investment bank seeks an AVP level Risk Manager (liquidity/market/credit) with strong knowledge of the following product areas: prime brokerage, secured funding, REPO financing, bonds and collateral swaps.


The opportunity is to lead the dialogue with the prime brokerage and secured funding business with regard to their internal liquidity model.  The role sits in Treasury and focuses on liquidity stress testing and the internal liquidity management framework.


The bank is keen to consider people from broader risk roles, who have an interest in liquidity risk and knowledge of the product area.

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