£400/day to £640/day
London, England
Contract, Variable

Senior Operational Analyst

Posted by Myn.

Senior Operational Analyst Until January 2024 London / Hybrid £642.16 p/d

If you're looking for a career that will help you stand out, and fulfil your potential. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, offers opportunities, support and rewards that will take you further. We are currently seeking an experienced individual to join this team in the role of Senior Operational Analyst.

Role Context

The role holder will operate within Global Treasury and have a high level of flexibility to consult with Senior Management at Group and Regional level.

The Global Treasury team and stakeholders are globally distributed. The role holder needs to have effective management of time to work across multiple disciplines, time zones, etc.

Global Liquidity within in Group Treasury (GT) is leading the implementation of Collateral Capabilities. This programme of work is responsible for the implementation of a strategic collateral platform alongside regulatory commitments and is recruiting support for a key workstream. This is a visible and high priority programme at Group level and consists of several delivery pillars in accordance with the components of the strategy. It has short, medium, and long-term objectives to achieve a collateral management function, and success which will result in material benefits for Group Treasury and sites respectively. The programme is required to move at pace with multiple strands and competing prioritises and parallel deliveries on both a tactical and strategic basis.

The successful candidate will be responsible to produce loan portfolios for review by a professional legal team. The analyst will work collaboratively with the Legal Due Diligence Hub, ensuring implementation of the strategy is driven with the appropriate swiftness, structure, governance, and traceability. Delivery will span teams across Global Treasury, Legal, and Regional Stakeholder Groups.

They will complete prework ahead of full legal contract review. They will do this by working across several areas within collaborative to understand what work has already been carried out and recommend the correct portfolios to work on.

Facilitate AI discussions within internal teams and support work to incorporate Treasury requirements.

The role holder will have significant experience in either: 1) the legal field, or 2) loan data analysis, and should have good knowledge of liquidity and funding, understand key liquidity measures as per the Group Framework (ILM, LCR, NSFR, PRA110, and other secondary monitoring metrics), Bank financial systems, related business areas, products and their strategic drivers.

Technical Skill Requirements

The role holder will have good knowledge of Collateral Management within the context of liquidity and funding, understand key liquidity measures as per the Group Framework (ILM, LCR, NSFR, PRA110, and other secondary monitoring metrics), Bank financial systems, related business areas, products and their strategic drivers.

Good understanding of the Treasury business and associated risks, with ability to translate complex concepts into programme artefacts

Personal Skill Requirements

Strong execution and problem solving skills

Strong stakeholder management skills

Ability to present information in a professional manner, including preparing documents for review by C-level audiences

Ability to deal with change in role and working environment

Team player and able to manage conflict and conflicting priorities

Ability to provide direction to more junior colleagues

Experience

Financial services and project delivery experience.

Legal expertise

Project management experience

Experience in change management across a large organisation.

Experience in people management is highly preferable.

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