Internal Audit Manager (VP) - Treasury

City of London  ‐ Onsite
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Keywords

Description

The vacancies will give access to a number of business areas across the Investment Banking, Wealth, Retail and Corporate sectors - thus providing the opportunity to gain exposure to a wide range of products to further develop yourself technically. In addition, the successful candidates will provide assurances to the business across core areas which include; Liquidity, Capital, Market Risk, Funding & Interest Rates, FX & Risk Management.

Essential competencies:

* Expert knowledge in risk and controls to mitigate liquidity and capital risks
* Strong understanding of funding requirements, funds transfer pricing including rates submission process
* Ability to understand risks in the management of liquidity buffer and the associated hedging activities
* Strong understanding of the interrelations between liquidity, structural and capital vs. regulatory reporting and financial reporting
* Detailed knowledge of BIPRU (FSA reporting)and US regulators' requirements over liquidity reporting and management
* Detailed knowledge of capital supply vs. capital demand and RWA calculations for
* capital adequacy purposes
* Familiarity with stress testing modelling, including Liquidity and Capital stress testing models

To be considered you need to be a Treasury SME within Corporate & Investment Banking, and be able to provide Treasury risk and controls knowledge.

Salary: £70,000 - c£90,000 + benefits & bonuses, London

To find out more about Real, please visit us on www.realstaffing.co.uk
Start date
10/2013
From
Real Staffing
Published at
06.11.2013
Project ID:
622833
Contract type
Permanent
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