Cache of job #13886960

Job Title

Treasury Risk Analyst

Employer

Sigmar Recruitment

Location

Dublin City Centre

Description

Treasury Risk Analyst Permanent The purpose of the role is to assist in the reporting and analysis performed by the Treasury Risk Management function in the areas of ALM and Liquidity Risk. Responsibilities: Responsible for accurate reporting of interest rate, FX and liquidity risk for the Bank, management & the regulator within agreed timelines. Work with Treasury (first line) in analysis of variances while providing second line independent challenge to ensure the organisation’s Risk Appetite is respected. Validation of risk metrics and reporting generated from group in respect of the Bank. Ensure appropriate controls are in place and maintained in relation to key reporting requirements. Identify control improvements and enhancement e.g. automation where necessary to reduce operational risk. Requirements: Education: Degree or Masters qualification in a relevant field such as Finance/Business. Experience (1-2yrs) in a financial services role would be an advantage. An understanding of Treasury operations and recent regulatory developments. Highly diligent with attention to detail a key requirement. SAS / SQL / Power BI experience would be a distinct advantage. Please contact Paul O'Riordan on 4744663 or e-mail poriordan@sigmar.ie. This job originally appeared on RecruitIreland.com.

Date Added

2197 days ago

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