CareerAddict

Liquidity Reporting Manager

Marshall Wolfe

Posted on Apr 11, 2025 by Marshall Wolfe
London, United Kingdom
Accountancy
Immediate Start
£35 - £35 Annual
Contract/Project

Liquidity Reporting Manager - Liquidity Reporting - Liquidity Frameworks

Marshall Wolfe are hiring on behalf of our client within financial services, who is seeking an experienced Liquidity Reporting Manager to support both business-as-usual operations and strategic change initiatives. This role sits within the core finance function and will play a key part in delivering critical liquidity reports and implementing regulatory reporting changes.

Key Responsibilities

  • Manage daily cash flows and ensure appropriate liquidity is maintained
  • Prepare and analyse regulatory liquidity returns (PRA110, LCR, NSFR, ALMM)
  • Drive enhancements to liquidity reporting processes, including testing and implementation of new controls
  • Support financial planning and risk management activities
  • Ensure compliance with all applicable financial regulations and internal policies

Requirements

  • Strong background in liquidity reporting, particularly with PRA110, LCR, NSFR, and ALMM
  • Advanced Excel skills; experience building and maintaining control tools and analysis packs
  • Prior involvement in change projects such as system implementations or mergers
  • Solid understanding of liquidity frameworks, with knowledge of asset encumbrance considered a plus

Additional details: 12+ month Contract (Inside IR35) | London (hybrid) | Market Rates


Reference: 2930662118

https://jobs.careeraddict.com/post/102840523

This Job Vacancy has Expired!

Marshall Wolfe

Liquidity Reporting Manager

Marshall Wolfe

Posted on Apr 11, 2025 by Marshall Wolfe

London, United Kingdom
Accountancy
Immediate Start
£35 - £35 Annual
Contract/Project

Liquidity Reporting Manager - Liquidity Reporting - Liquidity Frameworks

Marshall Wolfe are hiring on behalf of our client within financial services, who is seeking an experienced Liquidity Reporting Manager to support both business-as-usual operations and strategic change initiatives. This role sits within the core finance function and will play a key part in delivering critical liquidity reports and implementing regulatory reporting changes.

Key Responsibilities

  • Manage daily cash flows and ensure appropriate liquidity is maintained
  • Prepare and analyse regulatory liquidity returns (PRA110, LCR, NSFR, ALMM)
  • Drive enhancements to liquidity reporting processes, including testing and implementation of new controls
  • Support financial planning and risk management activities
  • Ensure compliance with all applicable financial regulations and internal policies

Requirements

  • Strong background in liquidity reporting, particularly with PRA110, LCR, NSFR, and ALMM
  • Advanced Excel skills; experience building and maintaining control tools and analysis packs
  • Prior involvement in change projects such as system implementations or mergers
  • Solid understanding of liquidity frameworks, with knowledge of asset encumbrance considered a plus

Additional details: 12+ month Contract (Inside IR35) | London (hybrid) | Market Rates

Reference: 2930662118

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