We're looking for a driven individual to join us in the Short Term Markets Front Office (STM) team, which is part of the wider Treasury unit, within the CFO Division.
Once you have completed the UK Regulator's Certification Process, you'll be a critical part of San UK's first line of defence. As part of the team, you'll be working with the Head of Short Term Markets to appropriately disclose any information that the firm would reasonably expect to be notified of, in line with the regulatory requirements, including information that may affect your ability to meet the fit and proper criteria, e.g., honesty, integrity, reputation and financial soundness.
The difference you'll make.
Learning to transact in wholesale markets across multiple product types including Securities Finance Transactions, Interest Rate and FX derivatives, Deposits, Certificates of Deposit, Commercial Paper and Outright Bonds.
Monitoring of the San UK operational liquidity risk metrics and escalating where compliance is no longer possible.
Ensuring the composition of the San UK Liquid Asset Buffer (LAB) adheres to all operational liquidity limits.
Participating in all operational and open market operations functions detailed under the Bank of England Sterling Monetary Framework, where directed to by senior management.
Dealing with the monetisation of liquid assets on a term basis to evidence liquidity of the LAB and maintain route to market
Managing risk exposures passed from the Internal Bank to STM as a function of consolidating all cash to square nostros and manage the operational composition of the LAB.
Analytical skills knowledge of SQL, VBA as well as some experience in risk and P& analysis of a range of wholesale products including Securities Finance Transactions, IRR / FX derivatives, and money market instruments
Product Analysis & Management Reporting: Ability to produce timely, accurate, detailed product analysis & reporting, in a pressurised & challenging environment
It would also be nice for you to have.
Risk management: Experience in line 2 risk management.
Product and market knowledge: Some Knowledge of the securities finance market including products; customers; legislative & regulatory framework.
Presentation skills. Good analytical, numerical and report writing skills, able to communicate technicalities to a less specialist audience.
Interpersonal & communication skills: Ability to effectively communicate with internal and external stakeholders
If there's anything we can do in the recruitment process to help you achieve your best, get in touch. Whether it's a copy of our application form in another format or additional assistance, we're available through telephone, email, or face to face. You can contact us at firstname.lastname@example.org or call 0870 414 9080.