Director, U.S. Liquidity Risk Management - RRP

Td Securities USA
298d$180,000 - $215,000

About The Position

The Director, U.S. Liquidity Risk Management is responsible for overseeing the US Treasury team that manages the development and compilation of recovery and resolution plans for all US entities. This role acts as a subject matter expert, providing guidance and support related to liquidity risks within the crisis continuum. The position requires a strong understanding of core liquidity processes, scenarios, assumptions, and policies. The Director will maintain a culture of risk management and control, ensuring compliance with US regulations and effective risk management practices. The role involves liaising with various business partners and facilitating actions to address performance, risk, and governance issues. The Director is also responsible for ensuring that the Recovery and Resolution Planning (RRP) team develops plans that reflect the nature, size, and complexity of the business model and risk profile, and that meet applicable planning requirements.

Requirements

  • 4 year degree required.
  • Advanced degree preferred.
  • 7-10 years of experience in liquidity risk management.
  • Familiarity with Reg YY, WW, SR 10-1, and SR 96-13.
  • Demonstrated strong conceptual and analytical abilities.
  • Strong internal control orientation.
  • Exceptional problem-solving, communication, and interpersonal skills.
  • Strong attention to detail and ability to meet tight deadlines.

Nice To Haves

  • Undergraduate degree in Business (Accounting or Finance) or Mathematics/Economics.
  • Series 7, 79 and 63 certifications.

Responsibilities

  • Oversee and manage the development and compilation of recovery and resolution plans for all US entities.
  • Act as a subject matter expert providing guidance on liquidity risks.
  • Maintain a culture of risk management and control aligned with the established risk appetite.
  • Provide oversight of Liquidity Risk management, including independent reviews of key assumptions and model usage.
  • Drive and build enterprise Risk Management reporting and Risk dashboard functions.
  • Ensure compliance of Liquidity Risk processes with US regulations.
  • Liaise closely with Treasury, Balance Sheet Management, Front Office, and other risk partners.
  • Facilitate and implement actions to address performance, risk, and governance issues.
  • Keep abreast of emerging issues, trends, and evolving regulatory requirements.
  • Develop and present plans that reflect the business model and risk profile.

Benefits

  • Base salary and variable compensation/incentive awards.
  • Health and well-being benefits.
  • Savings and retirement programs.
  • Paid time off including Vacation PTO, Flex PTO, and Holiday PTO.
  • Banking benefits and discounts.
  • Career development opportunities.
  • Training and onboarding sessions.

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What This Job Offers

Job Type

Full-time

Career Level

Senior

Industry

Securities, Commodity Contracts, and Other Financial Investments and Related Activities

Education Level

Bachelor's degree

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