Liquidity Reporting Manager
Core
Deliver high-quality regulatory and risk reporting for liquidity, strengthen modelling capability, and support informed decision-making across the Group.
Role type
Senior IC liquidity reporting manager (treasury)
Builds
Regulatory returns, risk appetite reports, management information, and ad-hoc analysis for liquidity risk exposures
Domain
Banking / Treasury / Liquidity Risk
Deliverable
production ML models | dashboards & analysis
Required skills
Treasury finance background, liquidity risk understanding, regulatory reporting experience, Excel modelling, stakeholder engagement, control frameworks, team leadership
Preferred skills
Banking or building society experience, understanding of treasury products
Technologies
Excel
Responsibilities
Deliver liquidity risk reporting including regulatory returns and management information; Explain key drivers of liquidity risk movements to senior stakeholders and regulators; Manage and prioritize changes in liquidity reporting processes; Drive development of liquidity reporting models and systems; Build relationships with Risk, Finance, and Treasury partners; Embed robust control frameworks and governance; Provide leadership and development support to team members