Helpdesk Click here to connect with our resourcing helpdesk team ?
Skip to main content

Date live: Dec. 23, 2021

Business Area: COO & Functions

Area of Expertise: Treasury

Reference Code: 90299259

Contract: Permanent

Funding & Liquidity Manager

As a Barclays Funding & Liquidity Manager, you will join the Barclays Bank Ireland (BBI) Treasury team at an interesting and ever evolving time. You will collaborate with colleagues in Funding and Liquidity Management (FLM) balancing the supply and demand of funding to ensure that BBI has adequate liquidity over short and long term time horizons. FLM proposes the funding strategy for BBI in partnership with Barclays International and Group teams in keeping with Barclays’ overall funding strategy.

Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We offer careers that provide endless opportunity – helping millions of individuals and businesses thrive, and creating financial and digital solutions that the world now takes for granted.

This role is deemed as a Controlled Function role under the Central Bank of Ireland Fitness and Probity Regulations and may require the role holder to hold mandatory regulatory qualifications or the minimum qualifications to meet internal company benchmarks.

What will you be doing?
• You will contribute to the development of a funding strategy to create a resilient entity balance sheet, in keeping with internal and external risk appetite
• Monitoring the BBI funding plan and preparing management information to drive an understanding of the actual movements and the forward looking view
• Working with stakeholders to analyse stress scenarios for the funding plan
• Contributing to the effective operation of Funds Transfer Pricing (FTP) within the entity, including the monthly allocation of the cost of the liquidity buffer (CLR) to the business
• Preparing regular written and verbal communications to Barclays Europe Head of Funding and Liquidity Management with regard to the entity’s Funding Plan

What we’re looking for:
• Relevant experience in Treasury Funding and Liquidity Management or a related area
• Knowledge of the liquidity regulatory metrics, balance sheet composition and ability to assess impact of business products
• Proficient systems skills essential, including efficient management of large and disparate data sets
• Knowledge of macro-economics, funding and credit markets

Skills that will help you in the role:
• Evidence of understanding and practical experience of financial markets and products
• Impact and influencing skills with demonstrable ability to distil complexity, convey multi-faceted concepts clearly for non-experts and to focus on outcomes
• Ability to produce clear, concise analysis for Barclays Europe Head of Funding and Liquidity Management
• Preferably you will be educated to university degree level or equivalent

Where will you be working?
You will be based in our new flagship office, One Molesworth Street, which is in the heart of Dublin city centre. We are currently expanding which drives a culture of change and hard work ethic, nonetheless the company maintains an open, friendly atmosphere. This is enhanced through our unique onboarding programs and a number of committees which all our employees are eligible to join.


More about working at Barclays