Avp - Liquidity Risk Reporting

2 days ago


Chennai, India Barclays Full time

Job Title: AVP - Liquidity Risk Reporting
Location: Chennai

About Barclays
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around the world, as well as a top-tier, full service, global corporate and investment bank, all of which are supported by our service company which provides technology, operations and functional services across the Group.
Risk and Control Objective
Take ownership for managing risk and strengthening controls in relation to the work you do

Working Flexibly

Hybrid Working

Structured hybrid role:
Introduction:
Support the overall production and submission of Liquidity Risk Reports to internal stakeholders and regulators, whilst ensuring adherence to supporting controls and governance framework, to ensure reporting is accurate, complete and timely. As part of this the role holder will, review and quality check team output, run variance analytics ; deep diving into metrics and provide insightful commentary on metrics, manage the escalation of system feed and data quality issues, liaising with Run the Bank (RTB) IT and reporting teams to resolve these in a timely manner. If data issues cannot be resolved within required timeframe the individual will feed into discussion to either roll data or post manual adjustments. In addition, this role will ensure reporting tools are EUDA complainant feeding requirements into technology for remediation when appropriate. As a part of this the role holder will be working on Liqudity transformation projects with technology to define requirements, provide data and test solutions

The role holder will support wider team with the completion of their reporting and control activities, assisting them with the investigation and resolution of more complex issues.

What will you be doing?
- Support the production and distribution of key management reports used for risk decision making;
- Perform variance analytics and deep dive analysis to provide insightful commetary on variances
- Support the production and submission of monthly external reporting to our key regulators (PRA and Fed);
- Provide inputs for liquidity related external disclosures and ILAAP;
- Monitor controls across Liquidity Risk Reporting;
- Perform Monthly reconciliations of liquidity data to the Balance sheet;
- Execute controls and governance around reconciliations;
- Ensure the right tools and understanding relating to liquidity metrics are in place;
- Perform ‘4 eye’ checks on reports produced by team members for timeliness, completeness and accuracy;
- Support the continuous improvement of these processes in terms of operational efficiency and/or controls effectiveness;
- Configuring and updating Treasury/Liquidity models in the strategic Model Execution platform (FISCUS-MEE);
- Involve in Treasury changes initiatives including automation;
- Perform impact analysis including data-mining, data visualisation (e.g. Qlik, Hypercube, Tablaeu.), and coding (e.g. SQL, Python R);
- Drive implementation of regulatory reporting enhancements with partner functions such as IT, Reporting teams, Risk, Reg Policy, and businesses;

What we’re looking for:

- Knowledge of the liquidity regulatory metric calculation methodologies (in particular LCR, NSFR,PRA110, ALMM) and underlying drivers
- CA/CFA/MBA/FRM or any other equivalent Finance Degree
- Must have strong communication skills, both written and verbal, with the ability to work both independently and collaboratively;
- Excellent presentation skills;
- Excellent Microsoft Excel skills & working knowledge of data mining / automation tools (SQL, VBA);
- Strong Balance sheet and Finance skills;
- Strong understanding of Control and Governance frameworks.
- Experience in driving change initiatives including working with IT on automation initiatives
- Excellent relationship management skills, with an ability to develop and maintain strong, open and trusted relationships with a variety of stakeholders outside of the immediate team;

Skills that will help you in the role:

- Experience within a Liquidity (Risk) Management function;
- Some/Preferred experience in data visualisation (e.g. Qlik, Tableau, Hypercube) and coding (e.g. SQL, Python, R)
- Regulatory and/or consultancy background.

Where will you be working?

Chennai

Be More at Barclays

Interested and want to know more about Barclays? Visit home.barclays/who-we-are/ for more details.

Purpose, Values and Mindset

We deploy finance responsibly to support people and businesses, acting with empathy and integrity, championing innovation and sustainability, for the common good and the long term.

Our values underpin everything we do: Respect, Integrity, Service, Excellence and Stewardship.

Respect

We harness the power of diversity and inclusion in our business, trust those we work with, and value everyone's contribution.

Integrity

We operate with ho



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