Assisting in maintaining standards and documentation for management actions and restructuring ensuring they align with regulatory requirements and support the identification design and validation of these actions.
Contributing to the evaluation and refinement of Recovery and Restructuring Strategy and Valuation processes in response to various stress test scenarios.
Aiding in the ongoing improvement upkeep and testing of management action and restructuring workflows.
Ensuring the accurate and timely delivery of reports to regulatory bodies including the ECB PRA and others with accountability for the quality and integrity of the reported data.
Supporting the preparation and execution of the Local Recovery Plan.
Engaging proactively and collaboratively with stakeholders including peers and senior leaders across functions business lines and legal entities to uphold standards controls and the reliability of all management actions.
Requirements
Expertise in risk liquidity or capital to provide insightful analysis and commentary.
Graduate or postgraduate with experience in Treasury or Finance reporting functions.
Skilled in collecting complex information and presenting it in a clear and accessible way.
Proficient in managing and improving data quality with experience in remediation efforts.
Strong analytical skills with handson experience handling large data sets and the ability to identify and address data issues effectively.
Exceptional interpersonal and communication skills both written and verbal.
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