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Job description
A critical role within the Group Finance Function's Liquidity Reporting team responsible for delivering accurate regulatory liquidity reporting, managing stakeholder relationships, and supporting strategic transformation of liquidity systems and processes across Standard Chartered Bank's global operations.
Responsible for complete and accurate delivery of daily, weekly, and monthly liquidity reporting across all metrics. Primary responsibilities include ensuring effective operation of control frameworks, providing subject matter expert support across the global liquidity footprint, and engaging with stakeholders across various business functions to resolve issues and provide liquidity insights.
Requires extensive experience in Finance, Regulatory Reporting, or Treasury, with specific expertise in liquidity reporting within banking environments. Candidates must have deep understanding of liquidity regulatory landscapes like Basel and PRA, strong quantitative and analytical skills, high attention to detail, and robust IT and data analysis capabilities. Experience in major international banks is essential.
Standard Chartered offers a competitive compensation package with comprehensive benefits including core bank funding for retirement, medical and life insurance, flexible working options, continuous learning opportunities, and a supportive inclusive work environment. The role provides opportunities for professional growth, strategic involvement in transforming financial reporting processes, and working with a globally diverse team.
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