Optimized Liquidity Position: Maintain an optimal liquidity position while balancing business needs, regulatory requirements, and market conditions.
Effective Risk Mitigation: Develop and implement robust risk mitigation strategies to protect against cash and liquidity-related risks.
Compliance and Reporting: Ensure timely and accurate reporting on cash and liquidity positions, demonstrating compliance with regulations and internal policies.
Stakeholder Satisfaction: Foster positive relationships with internal and external stakeholders by providing expert guidance on cash and liquidity management.
Qualifications
Bachelor's or Master's degree in Finance, Economics, or a related field.
Several years of experience in cash and liquidity risk management within the financial services industry.
Strong analytical skills and the ability to interpret complex financial data.
Commercial awareness and a pragmatic approach to risk management.
Excellent communication skills, both written and verbal.
Knowledge of relevant regulations and best practices in cash and liquidity risk management
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