Overview
In this role you drive the bank’s ability to access secured funding markets and central bank facilities. You will work closely with cross-functional teams to manage existing funding programmes, support new structures, and deliver regulatory and investor reporting. Your data-analysis focus enables informed decisions and robust controls across securitisation, covered bonds, and liquidity schemes. You’ll operate in a hybrid setup with prestige visibility and meaningful impact on liquidity resilience and transformation in funding programmes.
Responsibilities
- Manage existing funding programmes to ensure readiness for attracting new funding
- Support creation of new structures and programmes and deliver reports to central bank, regulators and investors
- Define and execute processes and controls for trade booking, cash management, and reporting for securitisation, covered bonds, and central bank schemes
- Improve safety and soundness and potential value under central bank contingent liquidity schemes
- Support the management of the back-stop facility to sustain operations in liquidity stress scenarios
Key requirements
- Strong data analysis skills and ability to collate data from multiple sources
- Interest in securitisation and understanding of secured funding mechanisms
- Proficient in Microsoft Excel, VBA or SQL
- Experience documenting procedures, processes and controls
- Experience in project disciplines and controls
- Ability to meet challenging deadlines and work with minimal supervision
- Good interpersonal and communication skills
- Attention to detail
- Strong communication
- Self-motivated and able to work independently
- Microsoft Excel
- VBA
- SQL
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