Eclaro
Overview Base pay range: $150,000.00/yr - $175,000.00/yr
Applying for this role is straight forward Scroll down and click on Apply to be considered for this position. This range is provided by ECLARO. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more. Key Responsibilities
Contribute to the development of the liquidity management framework by delivering modelled analysis and reporting for senior management and strategic decision-making committees. Development of the bank's internal liquidity stress testing (ILST) model and analysis of the results. Develop action plans and play a key part in scenario design in compliance with regulatory expectations. Manage the bank's Contingency Funding Plan (CFP) and ensure readiness for stress events. Build an intraday liquidity risk management framework, collaborating with key stakeholders to understand and communicate expected cashflows. Develop the short- and long-term cash flow forecasting framework and reporting capabilities. Assist with liquidity assessments and crisis simulations, document results, maintain management response and action plans, and assist with elements of the bank's newly mandated Resolution Plan. Education, Skills & Experience
A finance background with Treasury experience is required; an advanced degree (MBA) or certification (CFA, CPA, FRM) a plus. 5+ years of relevant experience in Liquidity Management, ideally with a large financial institution, consulting firm, or regulatory agency. Strong oral and written communication skills; a proactive self-starter with a strong project management mindset with the ability to interact with senior leaders and across diverse business functions. Strong analytical and problem-solving skills, and experience multitasking and managing multiple projects. Knowledge of liquidity management, including intraday liquidity management, cash flow forecasting, and funding planning; knowledge of liquidity requirements under Reg YY, OCC bulletins, and Client SR letters. Data Science skills (Python, VBA, SQL) are a plus. Equal Opportunity Employer:
ECLARO values diversity and does not discriminate based on Race, Color, Religion, Sex, Sexual Orientation, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status, in compliance with all applicable laws. Senior Leadership and Employment Details
Seniority level : Mid-Senior level Employment type : Full-time Job function : Analyst Industries : Banking and Capital Markets
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Applying for this role is straight forward Scroll down and click on Apply to be considered for this position. This range is provided by ECLARO. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more. Key Responsibilities
Contribute to the development of the liquidity management framework by delivering modelled analysis and reporting for senior management and strategic decision-making committees. Development of the bank's internal liquidity stress testing (ILST) model and analysis of the results. Develop action plans and play a key part in scenario design in compliance with regulatory expectations. Manage the bank's Contingency Funding Plan (CFP) and ensure readiness for stress events. Build an intraday liquidity risk management framework, collaborating with key stakeholders to understand and communicate expected cashflows. Develop the short- and long-term cash flow forecasting framework and reporting capabilities. Assist with liquidity assessments and crisis simulations, document results, maintain management response and action plans, and assist with elements of the bank's newly mandated Resolution Plan. Education, Skills & Experience
A finance background with Treasury experience is required; an advanced degree (MBA) or certification (CFA, CPA, FRM) a plus. 5+ years of relevant experience in Liquidity Management, ideally with a large financial institution, consulting firm, or regulatory agency. Strong oral and written communication skills; a proactive self-starter with a strong project management mindset with the ability to interact with senior leaders and across diverse business functions. Strong analytical and problem-solving skills, and experience multitasking and managing multiple projects. Knowledge of liquidity management, including intraday liquidity management, cash flow forecasting, and funding planning; knowledge of liquidity requirements under Reg YY, OCC bulletins, and Client SR letters. Data Science skills (Python, VBA, SQL) are a plus. Equal Opportunity Employer:
ECLARO values diversity and does not discriminate based on Race, Color, Religion, Sex, Sexual Orientation, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status, in compliance with all applicable laws. Senior Leadership and Employment Details
Seniority level : Mid-Senior level Employment type : Full-time Job function : Analyst Industries : Banking and Capital Markets
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