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A top international bank is looking for a senior level professional proficient in treasury and liquidity risk to join their Liquidity Risk management team! This is a high exposure, senior level position where you will be reporting to the Director of Liquidity Risk and interfacing with leaders of the business and stakeholders, both internal and external. You will be an essential member of the team, shaping a strong 2nd line of defence for liquidity risk. Located in sunny Los Angeles with competitive pay, this is not an opportunity you want to miss out on.
What you will find yourself doing:
Developing and enhancing liquidity risk management practices and processes
Challenging the 1st line of defence
Working on different projects such as CFP planning and Resolution planning
Take ownership of the reporting process to stakeholders
Face off with internal and external regulators
What we would like from you:
At least 5 years of Treasury experience
At least 3 years of Liquidity Risk experience
A Strong understanding of different Financial Products and Liquidity Stress Testing
At least a BA/BS in Finance
Oracle OFSAA experience is preferred
If this opportunity is of interest to you, don't hesitate to apply in!