Global financial technology company, operating institutional execution venues: LMAX Exchange, LMAX Global & LMAX Digital
FX Trading • Foreign Exchange • Award-winning Ultra-low Latency Technology • Unparalleled Execution Quality • Pre & Post-Trade Transparency
August 24
🔄 Hybrid – London
Global financial technology company, operating institutional execution venues: LMAX Exchange, LMAX Global & LMAX Digital
FX Trading • Foreign Exchange • Award-winning Ultra-low Latency Technology • Unparalleled Execution Quality • Pre & Post-Trade Transparency
• Conduct daily liquidity stress testing and analyse daily liquid asset movements • Perform monthly capital reporting and analysis • Monitor risk appetite and limits • Collaborate with Financial Planning & Analysis to develop Group and Legal Entity medium-term capital plans • Assist in developing Treasury Risk Management Framework and reporting • Manage intragroup lending processes and large exposure management • Prepare management information for internal committees and Boards of entities within the Group • Assist in preparing ICARA assessments and supporting policies / frameworks, including business model analysis, risk assessments, capital & liquidity adequacy, recovery and wind-down planning • Assist in the preparation of yearly disclosures • Engage in business partnering and assess the impact of new products and processes • Support the Treasury Risk & ALM Manger with various ongoing/ad hoc projects, including optimising cash, collateral, liquidity position, market risk, credit risk and balance sheet impact, as well as controlling client credit lines and debt • Stay up to date with regulatory guidance • Prepare monthly and quarterly regulatory reports and conduct movement analysis • Become a subject matter expert in investment firm regulation as applicable to LMAX entities and products, in the UK and globally • Conduct horizon scanning for updates regulatory guidance as applicable to LMAX entities
• Some relevant experience in Regulatory Reporting gained in a trading environment or consultancy • Sufficient understanding of regulatory environment, capital and liquidity risk management • Working knowledge of financial services industry, particularly capital markets • Familiarity with Finance, Treasury and Risk management tools and processes • Advanced proficiency in Excel, comfortable working with large volumes of data • Strong communication skills and the ability to interact effectively with stakeholders at all levels
• 25 days of holiday • Bonus • Pension contribution • Private medical, dental, and vision coverage • Life assurance • Critical illness cover • Wellness contribution program with access to ClassPass • Plumm Platform • Five volunteering days • Give as You Earn initiative • Learning and development programs • Electric Vehicle Scheme • Cycle to Work Scheme • Season Ticket Loan
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