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Liquidity Risk Manager (Vice President)(m/w/x)
Enhancing legal entity liquidity risk management within a global 2nd line framework. 5+ years financial services experience required. Asia-based financial services group, wholesale division focus.
Requirements
- 5+ years experience in financial services, market risk, liquidity risk, or treasury
- Degree in Finance, Accounting, Risk Management, Financial Mathematics, or related quantitative fields
- Knowledge of market and liquidity risk methodologies and regulations
- Working knowledge of regulatory expectations and best practices for 2nd line Treasury management
- Good prioritization skills and strong work ethic
- Initiative, proactive and independent worker
- Detail and process orientation
- Strong communication skills for articulating requirements and concerns
- Strong analytical skills for recognizing and investigating issues
Tasks
- Contribute to global 2nd line liquidity risk framework
- Enhance Legal Entity liquidity risk management
- Identify and implement Risk Framework improvements
- Ensure policies align with best practices
- Review and ensure appropriate funding and liquidity resources
- Analyse stress scenarios and challenge liquidity adequacy
- Support Risk Inventory and Strategy process
- Review and challenge risk appetite and limit proposals
- Ensure robust limits and controls for risk appetite compliance
- Identify enhancements in liquidity model framework
- Assess conceptual soundness of models and assumptions
- Challenge changes in reported data and escalate breaches
- Represent local Risk function in senior committees
Work Experience
- 5 years
Education
- Bachelor's degree
Languages
- English – Business Fluent
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Liquidity Risk Manager (Vice President)(m/w/x)
Enhancing legal entity liquidity risk management within a global 2nd line framework. 5+ years financial services experience required. Asia-based financial services group, wholesale division focus.
Requirements
- 5+ years experience in financial services, market risk, liquidity risk, or treasury
- Degree in Finance, Accounting, Risk Management, Financial Mathematics, or related quantitative fields
- Knowledge of market and liquidity risk methodologies and regulations
- Working knowledge of regulatory expectations and best practices for 2nd line Treasury management
- Good prioritization skills and strong work ethic
- Initiative, proactive and independent worker
- Detail and process orientation
- Strong communication skills for articulating requirements and concerns
- Strong analytical skills for recognizing and investigating issues
Tasks
- Contribute to global 2nd line liquidity risk framework
- Enhance Legal Entity liquidity risk management
- Identify and implement Risk Framework improvements
- Ensure policies align with best practices
- Review and ensure appropriate funding and liquidity resources
- Analyse stress scenarios and challenge liquidity adequacy
- Support Risk Inventory and Strategy process
- Review and challenge risk appetite and limit proposals
- Ensure robust limits and controls for risk appetite compliance
- Identify enhancements in liquidity model framework
- Assess conceptual soundness of models and assumptions
- Challenge changes in reported data and escalate breaches
- Represent local Risk function in senior committees
Work Experience
- 5 years
Education
- Bachelor's degree
Languages
- English – Business Fluent
Like this job?
BetaYour Career Agent finds similar jobs for you every day.
About the Company
Nomura Holdings, inc.
Industry
FinancialServices
Description
Nomura is a global financial services group providing solutions to individuals, institutions, and governments since 1925.
Not a perfect match?
- Nomura Financial Products Europe (NFPE)
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