The US Liquidity Management role sits within the Americas Treasury Liquidity team, responsible for safeguarding and optimizing the entity’s balance sheet and supporting adherence to the liquidity risk management framework. This position focuses on end-to-end liquidity management processes, including internal liquidity stress testing, liquidity planning and forecasting, liquidity transfer pricing, contingency funding planning, intraday liquidity management, and regulatory reporting. The role requires close collaboration with US businesses to explain liquidity risk drivers and movements, and to support issue remediation identified by second- and third-line teams.
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Job Type
Full-time
Career Level
Mid Level