About The Role
The Society's Treasury have a fantastic opportunity to join the team as a Treasury Analyst
You'll help monitor, project and report on the Society's liquidity positions, in support of the Society's corporate plan and risk appetite.
Reporting to the Head of Liquidity Planning, you will form part of the Society's Treasury team, and will support work to report, monitor and forecast liquidity levels, produce reports for internal committees and identify any areas of interest concern for cash flow purposes. In addition, you will become an SME on PRA regulatory reporting focusing on interpretation and implementation of requirements.
The successful candidate will have strong MS office skills, including excellent MS Excel skills, and an ability to communicate effectively with internal and external stakeholders.
Knowledge of Finance, Treasury, or risk management is an advantage, but is not essential. We are looking for someone with a strong work ethic and an inquisitive mind who seeks to challenge the status quo.
In addition, you will want to understand how your role and activity adds value the team, department and the Society as a whole.
You'll continually look for opportunities to develop both yourself and your team and look to step outside of the confines of your role in the support of colleagues and the Society. You'll engage honestly and constructively with your colleagues across the business to deliver great outcomes and ultimately cultivate an environment of collaboration, innovation and idea sharing.
You'll demonstrate a responsible and caring attitude by getting things done, getting things right and achieving this in the right way.
The closing date for applications is 8th June 2021
This job was originally posted as www.cwjobs.co.uk/job/92943152