Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President
On-site · Brooklyn, New York, United States
Job Summary
Lead and support liquidity analytics for the Corporate & Investment Bank Treasury, focusing on Wholesale Deposit methodology development, liquidity stress testing, and Funds Transfer Pricing. Develop approaches to liquidity risk measurement, support liquidity-related policy interpretation, and provide quantitative analysis and tools. Collaborate with lines of business and global teams to understand client-driven liquidity and balance sheet dynamics, improve reporting frameworks, and support ad-hoc regulatory initiatives. Requires building models, interpreting regulatory rules (LCR/NSFR), and delivering clear insights to senior management; role involves independent work, proactive problem-solving, and effective communication.
Required Qualifications
- Bachelor degree required: Finance, Economics or other quantitative fields
- 6+ years of experience in financial services, with work related to deposits and liquidity
- Strong analytical, creative thinking and problem-solving skills
- Self-starter with ability to work independently or in a team in a fast-paced environment
- Strong interpersonal, organizational, and communications skills
- Proficiency with Excel, PowerPoint, Word, Access
- Preferred qualifications include knowledge of Basel/US regulatory requirements and basic Python/Tableau/Alteryx
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