Global Liquidity Management Senior Analyst Apply
Global Liquidity Management is part of the Corporate Treasury organization and responsible for measuring, monitoring, and analyzing the enterprise's liquidity utilization in order to ensure client and its subsidiaries can meet all contractual and contingent financial obligations through typical market cycles, as well as, periods of stress.
The Senior Analyst will be a member of the Traded Products Liquidity Management team. Primary focus will be providing product subject matter expertise for a global markets products. The Senior Analyst will provide analysis, reporting and assessment of liquidity requirements for the Global Markets line of business on contractual obligations, contingent risks, as well as cash flow forecasting and stress testing.
Responsibilities include:
-
Monitor and trend liquidity risks relating to business activities, understand correlation between business drivers and liquidity usage and build out enhanced granularity on reporting for global markets usage
-
Enhance processes to streamline reporting and build out additional analytic capabilities, with lean towards emerging technology (Alteryx, Tableau etc.)
-
Provide input into monthly presentations for Risk Committees, Board of Directors, Enterprise and Local Regulators
-
Support other ad hoc projects within Liquidity Management
Required Skills:
-
Bachelor's degree in Business or related work experience
-
At least 4 years of industry experience working with financial products
-
Energetic and self-motivated. Candidate should have a strong intellectual curiosity
-
Excellent communication skills – both written and verbal
-
Ability to drive project goals across functions with minimal oversight
Desired Skills:
-
Understanding of liquidity requirements for large banking institutions (either regulatory, reporting or business)
-
Active experience liaising across business, data, and technology managers within a financial institution