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About the Role
This is a unique opportunity for a passionate and driven professional with strong data analysis skills to join us. You’ll be maintaining the bank’s ability to access the secured funding markets and to central bank facilities. This role offers great visibility and an excellent platform for career progression.
Responsibilities
- Manage existing funding programmes to ensure the bank’s readiness to attract new funding.
- Support the creation of new structures and programmes.
- Deliver reports to the central bank, regulators, and the investor community.
- Support the definition and execution of processes and controls for trade booking, cash management, and reporting requirements for securitisation transactions, the bank’s regulated covered bond programme, and central bank contingent liquidity schemes.
- Help improve the safety and soundness of the bank and the potential value under central bank contingent liquidity schemes.
- Provide support in managing the back-stop facility for operations during liquidity stressed environments.
Requirements
- Strong data analysis skills and a keen eye for detail.
- Ability to collate and interpret data from multiple sources and platforms.
- Interest in securitisation with some understanding of secured funding mechanisms.
- Understanding of documenting procedures, processes, and controls.
- Experience in project disciplines and controls.
- Ability to deliver against challenging deadlines.
- Ability to work through issues with minimal supervision.
- Good interpersonal and communication skills.
Skills
- Microsoft Excel
- VBA
- SQL
Location
- London
Work Type
- Hybrid
- Full-time