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I am currently working with a leading Retail Bank based in Edinburgh who are expanding their team with the addition of a Group Forecasting Lead.
You'll be joining a diverse, multi-locational team that is responsible for forecasting the bank's capital, liquidity and funding requirements, as well as setting its policies and agreeing the risk appetite
Working closely with the business, you'll communicate capital and funding plans and strategies to senior forums and regulators
As a valued member of the Treasury capital and liquidity forecasting team, you'll help the bank to grow by ensuring it's well funded and maintains adequate levels of capital and liquidity
This is a high profile role that provides exposure to the bank's senior management
Formulate the bank's capital, liquidity and funding plan under base and stress scenarios including ICAAP and the annual Bank of England stress test. You'll also forecast Treasury P&L including capital, liquidity and funding costs under base and stress scenarios.
Sense check plans, explaining key drivers and differences between base and stress scenarios
Communicate plans to senior governance committees
Provide updates to rolling forecasts and recommend capital, liquidity and funding related actions as appropriate
Sign-off regulatory returns
Manage the day-to-day relationship with the PRA on capital, liquidity and funding related matters
Knowledge of financial, regulatory and legislative developments affecting capital and balance sheet frameworks will be thorough.
Strong treasury management knowledge with experience in financial accounting and industry standards.
Solid grasp of financial reporting and management information, financial planning, forecasting and analysis.
Strong risk management capabilities
Strong leadership experience, able to face off in an impactful manner and create results
Outstanding problem solving and analytical skills
Internal Number: 6117063
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