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Liquidity Risk VP: Strategy, Modelling & Regulation
Posted 1 hour 1 minute ago by 3761 Barclays - BX - UK
Permanent
Full Time
Other
London, United Kingdom
Job Description
Barclays London is seeking a Funding and Liquidity Risk VP manager to lead oversight across internal liquidity stress test modelling, limit framework, and regulatory engagement. This role sits in the second line of defence, enabling you to shape liquidity strategy and drive robust risk controls.
You will manage model ownership, challenge first-line practices, and communicate with regulators, ensuring alignment with risk appetite while leading a team of specialists in a dynamic, high-impact
3761 Barclays - BX - UK
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