Senior Liquidity Manager

Western Alliance BankPhoenix, AZ
22d

About The Position

As a Senior Liquidity Manager, you'll monitor and manage firm-wide and legal entity liquidity positions. You’ll develop, enhance, and oversee the implementation of the liquidity frameworks and assumptions for internal liquidity stress testing. You'll interpret and oversee the implementation of regulatory reporting such as the FR 2052a, LCR and NSFR. You'll aggregate and manage liquidity forecasts for the firm and key legal entities and liaise with Risk and Audit on review and challenge of various policy related activities. Develop, enhance, and manage the implementation of the firm's liquidity frameworks (Internal Liquidity Stress Tests as required by Reg YY/EPS). Interpreting and overseeing the implementation of U.S. liquidity rules (US LCR, NSFR, STWF) and 2052a reporting. Liquidity management including long-term liquidity forecasting and liquidity stress testing. Participate in discussions with senior management on liquidity strategy and planning and will work closely with various lines of business and their teams. Partner with Lines of Business, Risk partners, and other stakeholders to assist in the development of the liquidity management function with the goal of being compliant with LFI requirements. Mentor junior members of team including coaching, performance management, training and development.

Requirements

  • 12+ years of related experience in Treasury and/or liquidity risk
  • Bachelor's degree in related field required
  • Advanced knowledge of general banking operations, including deposit operations, loan administration, treasury management and/or other commercial banking products and services
  • Advanced knowledge of applicable regulatory and legal compliance obligations, rules and regulations, industry standards and practices
  • Experience working at a LFI institution ($100B+)
  • Advanced ability to promote partnership with Liquidity Risk Oversight and Corporate Treasury
  • Advanced speaking and writing communication skills

Nice To Haves

  • Previous leadership experience preferred
  • Certified Treasury Professional preferred

Responsibilities

  • Monitor and manage firm-wide and legal entity liquidity positions
  • Develop, enhance, and oversee the implementation of the liquidity frameworks and assumptions for internal liquidity stress testing
  • Interpret and oversee the implementation of regulatory reporting such as the FR 2052a, LCR and NSFR
  • Aggregate and manage liquidity forecasts for the firm and key legal entities and liaise with Risk and Audit on review and challenge of various policy related activities
  • Develop, enhance, and manage the implementation of the firm's liquidity frameworks (Internal Liquidity Stress Tests as required by Reg YY/EPS)
  • Interpreting and overseeing the implementation of U.S. liquidity rules (US LCR, NSFR, STWF) and 2052a reporting
  • Liquidity management including long-term liquidity forecasting and liquidity stress testing
  • Participate in discussions with senior management on liquidity strategy and planning and will work closely with various lines of business and their teams
  • Partner with Lines of Business, Risk partners, and other stakeholders to assist in the development of the liquidity management function with the goal of being compliant with LFI requirements
  • Mentor junior members of team including coaching, performance management, training and development

Benefits

  • competitive salaries
  • an ownership stake in the company
  • medical and dental insurance
  • time off
  • a great 401k matching program
  • tuition assistance program
  • an employee volunteer program
  • and a wellness program
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