Leading the Wealth Management Treasury related activities the role will be the main point of contact to all divisions of the bank including operations, finance, risk and of course the business. Essentially the role will handle the funds transfer pricing for all the loans and deposits and the reporting of the daily metrics with a view to automation of the liquidity reporting. The position will need to explain complex issues clearly so a quantitative background within ALM, Treasury and Liquidity risk is necessary and preference for Tableau / Power BI or similar skill set is required.