Local Knowledge Global Resources Specialist Consultants

  • London
  • New York
  • Dubai
  • Hong Kong
  • Singapore

Analyst Treasury Capital and Funding

Location: Glasgow, Scotland, United Kingdom

Salary: Competitive + bonus and benefits

You will be primarily responsible for maintaining and developing the significant spreadsheets used by Treasury to monitor and manage the Bank's key risks such as Capital, Funding and Liquidity.  The ability to develop, maintain and document spreadsheets, macros and other analytical/control aspects of Excel is a critical requirement of this role.

The successful candidate will have advanced Excel and VBA skills, including building macros from scratch.  The interview process will involve an Excel test.

Financial services experience is desirable, but not required.  Candidates will also be considered straight from PhD/academia.  Previous treasury experience is desirable but not required.