Lead Financial Resource Management - Liquidity Methodology & Analytics - Executive Director
On-site · New York City, New York, United States
Job Summary
Executive Director leading liquidity methodology and analytics for a global Markets Treasury. Own the liquidity agenda, optimize funding and profitability, and build scalable analytics and methodologies. Partner with Liquidity Risk Tech, Regional Treasury, Corporate Treasury, LRM, QR, and product groups to translate regulation into robust frameworks, prepare analyses for senior management and governance, and drive measurable improvements. Engage regulators and industry groups, shape liquidity stress testing, and deliver strategic initiatives at pace. This role sits at the nexus of Markets, Risk, Technology, and Treasury to turn regulatory dynamics into actionable insights with real P&L impact.
Required Qualifications
- Extensive experience in Treasury, Risk, Markets, or adjacent roles with a focus on liquidity risk/analytics
- Deep understanding of markets, products, and liquidity risk; hands-on with stress testing and frameworks (LCR, NSFR, 5G, etc.)
- Data-driven problem solver with Python/SQL/Excel/Tableau; comfort with automation and prototypes
- Crisp communicator and trusted partner with strong stakeholder management across senior levels
- Bias for action—able to prioritize, ship solutions, and thrive in a fast, dynamic environment
- Degree in Finance, Economics, Math, Engineering, or related; advanced degree preferred
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