TD Securities
Vice President - US Treasury, TD Securities
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Vice President - US Treasury, TD Securities
role at
TD Securities .
Overview Work Location : New York, New York, United States of America
Hours : 40
Line Of Business : TD Securities
Pay Detail : $225,000 - $225,000 USD
TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience at TD. Our compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs. As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
Job Description TDS Treasury is part of Global Markets in TD Securities, and manages the dealer's liquidity, funding and non-trading market risk. Within the group, US TDS Treasury team is responsible for funding and liquidity activities and Asset and Liability management of TDS' US region entities.
TDS Treasury is looking for an individual with strong analytical and communication skills and a deep understanding of capital markets products. This role will cover a range of treasury related initiatives with focus on non-trading market risk management (NTMR). This position will report to the TDS US Treasurer.
The VP Sales and Trading TDS develops an institutional investor base in the U.S. to fund the Bank and to place U.S. and Canadian money market positions. The position liaises closely with the Bank's other operations in Canada, Europe, and the U.S. to assist in meeting the Bank's objectives.
Key Responsibilities
Maintain and update the TDS NTMR framework and policies for US entities, working with Risk Partners.
Work with the businesses and TDS Treasury on cross functional impacts including balance sheet forecasting, new product creation, liquidity and fund transfer pricing, and entity level capital management.
Assess new products and business requests in context of US NTMR, liquidity and funding implications. Work closely with TDS Treasury Enterprise NTMR team and US Treasury Asset & Liability Management group.
Build enhancements of TDS banking books and products in risk infrastructure and reporting, with proper implementation standards.
Work with stakeholders to change and improve operational booking models.
Preparing materials for committee meetings and regulatory requests.
Depth & Scope
Position liaises closely with the Banks other operations in Canada, Europe and the U.S. to assist in meeting the Banks objectives.
Develops an institutional investor base in the U.S. to fund the Bank and to place U.S. and Canadian money market positions.
Strict adherence personally and at a desk level to the firm's procedures.
Understands and complies with TD Policies, regulatory and compliance requirements.
Ensures that transactions are fully documented and processed accurately and in a timely manner.
Communicates bank policy information and strategy between the product head and relevant trading personnel.
Fully informed on market data, economic information and key industry developments as well as regulatory standards at all times to assist in maximizing profitability through sound trading decisions.
Develops and maintains contacts.
Responsible for executing the ongoing trading exception report reviews for Money Markets Sales NY.
Understands the approved Business Strategies (Strategic Business Reviews SBRs), applicable to the business, and ensures that all of your business dealings are in alignment with these strategies.
Follows Credit Risk Policies and procedures, as they apply to the business and is responsible for being aware of and understanding such policies and procedures and ensuring that applicable sales and trading activity is in line with those policies.
Demonstrates governance, control and risk management behaviors in alignment with TD policies and practices.
Experience
Undergraduate degree in Business (Accounting or Finance) or Mathematics/Economics.
Series 7 and 63
5-7 Years of related experience
Must be detail oriented and possess problem-solving skills
Must be able to work independently with minimal supervision and establish priorities
Proficient in interpersonal communication (both oral and written), and have the ability to communicate effectively with all levels of staff and management
Preferred Qualifications
5+ years related experience in Treasury or Capital Markets
Deep understanding of capital markets industry including products and services in both markets and banking
Technical background in regulatory frameworks (Basel Committee on Banking Supervision, Federal Reserve, Office of the Comptroller of the Currency, Office of the Superintendent of Financial Institutions)
Knowledge or experience with regulatory liquidity risk and concepts, short-term interest rate markets, and/or hedge accounting and hedge accounting strategies
Strong analytical and problem-solving skills
Strong presentation and communication skills, with ability to influence outcomes
Robust organizational knowledge with the ability to work in a fast-paced environment, under pressure and manage multiple deadlines and priorities
Technical skills in Excel, Bloomberg, Alteryx, SQL, VBA, Macro, Python etc.
Physical Requirements
Domestic Travel – Occasional
International Travel – Never
Performing sedentary work – Continuous
Performing multiple tasks – Continuous
Operating standard office equipment - Continuous
Responding quickly to sounds – Occasional
Sitting – Continuous
Standing – Occasional
Walking – Occasional
Moving safely in confined spaces – Occasional
Lifting/Carrying (under 25 lbs.) – Occasional
Lifting/Carrying (over 25 lbs.) – Never
Squatting – Occasional
Bending – Occasional
Kneeling – Never
Crawling – Never
Climbing – Never
Reaching overhead – Never
Reaching forward – Occasional
Pushing – Never
Pulling – Never
Twisting – Never
Concentrating for long periods of time – Continuous
Applying common sense to deal with problems involving standardized situations – Continuous
Reading, writing and comprehending instructions – Continuous
Adding, subtracting, multiplying and dividing – Continuous
The above statements are intended to describe the general nature and level of work being performed by people assigned to this job. They are not intended to be an exhaustive list of all responsibilities, duties and skills required. The listed or specified responsibilities & duties are considered essential functions for ADA purposes.
Who We Are TD Securities offers a wide range of capital markets products and services to corporate, government, and institutional clients who choose us for our innovation, execution, and experience. We are growth-oriented, people-focused, and community-minded. As a team, we work to deliver value for our clients every day.
Our Total Rewards Package
mentions base salary and incentive awards, health and well-being benefits, savings and retirement programs, paid time off, banking benefits and discounts, career development, and recognition.
Additional Information We’re delighted that you’re considering building a career with TD. TD is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, or any other characteristic protected by law. If you need accommodations, please email USWAPTDO@td.com with your needs.
Seniority level Executive
Employment type Full-time
Job function Finance and Sales Industries Investment Banking
#J-18808-Ljbffr
Vice President - US Treasury, TD Securities
role at
TD Securities .
Overview Work Location : New York, New York, United States of America
Hours : 40
Line Of Business : TD Securities
Pay Detail : $225,000 - $225,000 USD
TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience at TD. Our compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs. As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
Job Description TDS Treasury is part of Global Markets in TD Securities, and manages the dealer's liquidity, funding and non-trading market risk. Within the group, US TDS Treasury team is responsible for funding and liquidity activities and Asset and Liability management of TDS' US region entities.
TDS Treasury is looking for an individual with strong analytical and communication skills and a deep understanding of capital markets products. This role will cover a range of treasury related initiatives with focus on non-trading market risk management (NTMR). This position will report to the TDS US Treasurer.
The VP Sales and Trading TDS develops an institutional investor base in the U.S. to fund the Bank and to place U.S. and Canadian money market positions. The position liaises closely with the Bank's other operations in Canada, Europe, and the U.S. to assist in meeting the Bank's objectives.
Key Responsibilities
Maintain and update the TDS NTMR framework and policies for US entities, working with Risk Partners.
Work with the businesses and TDS Treasury on cross functional impacts including balance sheet forecasting, new product creation, liquidity and fund transfer pricing, and entity level capital management.
Assess new products and business requests in context of US NTMR, liquidity and funding implications. Work closely with TDS Treasury Enterprise NTMR team and US Treasury Asset & Liability Management group.
Build enhancements of TDS banking books and products in risk infrastructure and reporting, with proper implementation standards.
Work with stakeholders to change and improve operational booking models.
Preparing materials for committee meetings and regulatory requests.
Depth & Scope
Position liaises closely with the Banks other operations in Canada, Europe and the U.S. to assist in meeting the Banks objectives.
Develops an institutional investor base in the U.S. to fund the Bank and to place U.S. and Canadian money market positions.
Strict adherence personally and at a desk level to the firm's procedures.
Understands and complies with TD Policies, regulatory and compliance requirements.
Ensures that transactions are fully documented and processed accurately and in a timely manner.
Communicates bank policy information and strategy between the product head and relevant trading personnel.
Fully informed on market data, economic information and key industry developments as well as regulatory standards at all times to assist in maximizing profitability through sound trading decisions.
Develops and maintains contacts.
Responsible for executing the ongoing trading exception report reviews for Money Markets Sales NY.
Understands the approved Business Strategies (Strategic Business Reviews SBRs), applicable to the business, and ensures that all of your business dealings are in alignment with these strategies.
Follows Credit Risk Policies and procedures, as they apply to the business and is responsible for being aware of and understanding such policies and procedures and ensuring that applicable sales and trading activity is in line with those policies.
Demonstrates governance, control and risk management behaviors in alignment with TD policies and practices.
Experience
Undergraduate degree in Business (Accounting or Finance) or Mathematics/Economics.
Series 7 and 63
5-7 Years of related experience
Must be detail oriented and possess problem-solving skills
Must be able to work independently with minimal supervision and establish priorities
Proficient in interpersonal communication (both oral and written), and have the ability to communicate effectively with all levels of staff and management
Preferred Qualifications
5+ years related experience in Treasury or Capital Markets
Deep understanding of capital markets industry including products and services in both markets and banking
Technical background in regulatory frameworks (Basel Committee on Banking Supervision, Federal Reserve, Office of the Comptroller of the Currency, Office of the Superintendent of Financial Institutions)
Knowledge or experience with regulatory liquidity risk and concepts, short-term interest rate markets, and/or hedge accounting and hedge accounting strategies
Strong analytical and problem-solving skills
Strong presentation and communication skills, with ability to influence outcomes
Robust organizational knowledge with the ability to work in a fast-paced environment, under pressure and manage multiple deadlines and priorities
Technical skills in Excel, Bloomberg, Alteryx, SQL, VBA, Macro, Python etc.
Physical Requirements
Domestic Travel – Occasional
International Travel – Never
Performing sedentary work – Continuous
Performing multiple tasks – Continuous
Operating standard office equipment - Continuous
Responding quickly to sounds – Occasional
Sitting – Continuous
Standing – Occasional
Walking – Occasional
Moving safely in confined spaces – Occasional
Lifting/Carrying (under 25 lbs.) – Occasional
Lifting/Carrying (over 25 lbs.) – Never
Squatting – Occasional
Bending – Occasional
Kneeling – Never
Crawling – Never
Climbing – Never
Reaching overhead – Never
Reaching forward – Occasional
Pushing – Never
Pulling – Never
Twisting – Never
Concentrating for long periods of time – Continuous
Applying common sense to deal with problems involving standardized situations – Continuous
Reading, writing and comprehending instructions – Continuous
Adding, subtracting, multiplying and dividing – Continuous
The above statements are intended to describe the general nature and level of work being performed by people assigned to this job. They are not intended to be an exhaustive list of all responsibilities, duties and skills required. The listed or specified responsibilities & duties are considered essential functions for ADA purposes.
Who We Are TD Securities offers a wide range of capital markets products and services to corporate, government, and institutional clients who choose us for our innovation, execution, and experience. We are growth-oriented, people-focused, and community-minded. As a team, we work to deliver value for our clients every day.
Our Total Rewards Package
mentions base salary and incentive awards, health and well-being benefits, savings and retirement programs, paid time off, banking benefits and discounts, career development, and recognition.
Additional Information We’re delighted that you’re considering building a career with TD. TD is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, or any other characteristic protected by law. If you need accommodations, please email USWAPTDO@td.com with your needs.
Seniority level Executive
Employment type Full-time
Job function Finance and Sales Industries Investment Banking
#J-18808-Ljbffr