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Our client is looking for an experienced Treasury/Liquidity Risk Consultant from an Investment Banking and consulting background.
The role will require experience of capital planning and managing an asset and liability management function (liquidity, interest rate and foreign exchange rate exposure management) and working on a treasury funding desk. You will need to demonstrate strong business analysis, financial analysis including liquidity risk modelling and in depth knowledge of FSA regulations liquidity risk and capital adequacy is essential as is investment banking.
The successful candidate will have the ability to recommend solutions, particularly where client requirements are not clearly defined and adaptable to changing objectives.
Essential skills required;
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