A specialist lending business are looking for an ALM Manager to join their Treasury function, covering market, liquidity and funding risk. The ideal candidate will have experience from a banking or building society, including an understanding or IRR/hedging.
Responsibilities
- Liquidity and funding risk management, including monitoring, reporting, forecasting and stress testing
- Established policies and frameworks around risk management
- Develop/maintain hedging strategy and support execution of interest rate swaps
- Produce ALCO packs monthly
Requirements
- Treasury/ALM experience from a bank/building society/lender
- Understanding of UK financial markets and debt-related products
- IRR/hedging experience
Hybrid - 2-3 days in London office per week