- Monitor and analyze liquidity risk data to identify potential risks and opportunities for improvement.
- Develop and maintain reports on liquidity positions, cash flows, and other key metrics to inform business decisions.
- Collaborate with stakeholders across the organization to ensure effective communication of liquidity risks and mitigation strategies.
- Provide insights and recommendations to senior management on optimizing liquidity portfolio performance.
Job Requirements :
- 6-12 years of experience in banking or finance industry with a focus on liquidity reporting & analysis.
- Robust understanding of LCR (Liquidity Coverage Ratio) regulations and their application in a banking setting.
- Proficiency in analyzing complex financial data using tools such as Excel or specialized software like Alteryx or Tableau.
📌 Liquidity (India)
🏢 EY
📍 India
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