A prestigious wealth management company is seeking a market risk liquidity analyst for its operation in Bermuda.
The position will report to the AVP, group market risk manager and is responsible for monitoring and reporting on liquidity levels across the group. In addition, the successful candidate will be responsible for the continued refinement, development and quality assurance of all liquidity-related reporting including the delivery of accurate and timely committee and board-related reporting.
You will need a university degree with business and finance major/minor with a minimum of four years experience in treasury, capital markets, finance/ accounting or risk management role. One of the following qualifications (CA, CPA) or CFA is essential.
Please email your CV with any further information to gina@ap-executive.com