
Associate - Treasury Liquidity Stress Testing & Forecasting [High Salary]
14 hours ago
Job Summary The candidate will provide BAU support across number of critical activities including liquidity risk forecasting of key metrics LCR NSFR and internal back-testing running of stress and recovery resolution scenarios technical support of used tools and ad-hoc analysis and explanations requested by the business Key Responsibilities Run BAU process that pertaining to Treasury Liquidity Forecasting Stress Testing Analysing and explain the forecast results to various stakeholders Providing BAU support analysis walkthroughs and explanations to stakeholders and the business clients Addressing ad-hoc inquiries as needed Setup new and validate FiR Recovery scenarios with stakeholders participate in global regulatory liquidity stress fire-drill Participating and support project work deliveries of new enhanced forecasting scenario testing and reviewing the assumptions used Requirements Candidate profile 1 to 5 years of experience in Liquidity Risk Management Interest Rate Risk Management ALM or Treasury area from top-tier banks consultancy firms Deep understanding of balance sheet structure financial data regulatory liquidity metrics liquidity stress testing and or Recovery and Resolution scenarios Ability to communicate effectively at various levels e g senior management business stakeholders project squads working groups Excellent written and verbal communication in English Degree in Finance Economics quantitative fields CFA FRM designation is highly beneficial Knowledge of Excel VBA or Python will be an advantage Work experience in the design and development of automated reports processes is an advantage Work experience in end-to-end change management covering business requirement gathering and documentation solution implementation and testing is an advantage Prior experience with Balance Sheet Management platforms Moody s Analytics QRM Oracle etc or booking platforms Murex Kondor etc is an advantage Attention to detail and vigor to drive accurate process execution and process optimization Skills and Experience Treasury Markets PnL Forecasting Funds Transfer Pricing Balance Sheet Management Liquidity Stress Testing Product Owner Project Management Agile Way of Work Understand of Bank data system architecture Qualifications NA About Standard Chartered We re an international bank nimble enough to act big enough for impact For more than 170 years we ve worked to make a positive difference for our clients communities and each other We question the status quo love a challenge and enjoy finding new opportunities to grow and do better than before If you re looking for a career with purpose and you want to work for a bank making a difference we want to hear from you You can count on us to celebrate your unique talents and we can t wait to see the talents you can bring us Our purpose to drive commerce and prosperity through our unique diversity together with our brand promise to be here for good are achieved by how we each live our valued behaviours When you work with us you ll see how we value difference and advocate inclusion Together we Do the right thing and are assertive challenge one another and live with integrity while putting the client at the heart of what we do Never settle continuously striving to improve and innovate keeping things simple and learning from doing well and not so well Are better together we can be ourselves be inclusive see more good in others and work collectively to build for the long term What we offer In line with our Fair Pay Charter we offer a competitive salary and benefits to support your mental physical financial and social wellbeing Core bank funding for retirement savings medical and life insurance with flexible and voluntary benefits available in some locations Time-off including annual leave parental maternity 20 weeks sabbatical 12 months maximum and volunteering leave 3 days along with minimum global standards for annual and public holiday which is combined to 30 days minimum Flexible working options based around home and office locations with flexible working patterns Proactive wellbeing support through Unmind a market-leading digital wellbeing platform development courses for resilience and other human skills global Employee Assistance Programme sick leave mental health first-aiders and all sorts of self-help toolkits A continuous learning culture to support your growth with opportunities to reskill and upskill and access to physical virtual and digital learning Being part of an inclusive and values driven organisation one that embraces and celebrates our unique diversity across our teams business functions and geographies - everyone feels respected and can realise their full potential 32063
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Bengaluru, Karnataka, India Standard Chartered Full timeJob ID: 32063 Location: Bangalore, IN Area of interest: Treasury Job type: Regular Employee Work style: Hybrid Working Opening date: 13 Jun 2025 **Job Summary**- **Key Responsibilities** - Run BAU process that pertaining to Treasury Liquidity Forecasting & Stress Testing. - Analysing and explain the forecast results to various stakeholders. - Providing...
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Director, End Product Services, Treasury Modelling
14 hours ago
Bangalore, Karnataka, India Standard Chartered Full timeJob Summary Treasury Modelling Forecasting is driving a multi-year programme to deliver scalable and integrated solutions across Markets Liquidity Stress Testing and Performance Management The ultimate goal is to provide business a holistic view of their balance sheet and how various regulatory and internal constrains affected their profitability...
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Bangalore, Karnataka, India Standard Chartered Full timeJob Summary The candidate will provide both project and BAU support across number of critical activities FTP Treasury PnL forecasting simulation technical support of used tools and ad-hoc analysis and explanations requested by the business Key Responsibilities Run BAU process that pertaining to Treasury PnL forecasting and analytics Analysing ...
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bangalore, India ETG Full timeJob Location: BangaloreExperience required: 4+ yearsQualification: BCom/MCom/MBAImmediate joiners preferred for this role.PRIMARY FUNCTIONS AND ESSENTIAL RESPONSIBILITIESCash and Liquidity ManagementManage cash flow forecasting, liquidity planning, financial statement analysis and investment strategies.Develop cash targets to support efficient liquidity...