Manager, Liquidity & Funding Management
$82,800–$154,800 year
On-siteToronto, Ontario, Canada
Job Summary
Manage the build, management, and execution of an enterprise-wide liquidity and funding management framework to optimize risks and maximize risk-adjusted profitability. Provide expertise for the measurement, analysis, and oversight of the Bank's global regulatory and internal funding risks. Develop a solid understanding of business strategies and in-depth product, market, and regulatory knowledge across retail, commercial, and trading products. Advise on liquidity and funding risk mitigation, product development, and optimization. Support the development of liquidity risk measurement and reporting processes and develop processes to identify, measure, and manage liquidity and funding risks in conjunction with Market Risk Management. Act as a trusted advisor to assigned business groups on recovery and resolution planning. Monitor performance of liquidity stress testing processes and address issues related to enterprise-wide and OSFI macro-stress testing. Design and produce regular and ad-hoc reports, dashboards, and analyze data to provide insights into business product pricing and funds transfer pricing processes.
Required Qualifications
- Typically between 5 - 7 years of relevant experience
- post-secondary degree in related field of study
- equivalent combination of education and experience
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