The Corporate Treasury Liquidity and Funding team sits within the Finance organization and is responsible for measuring, monitoring, managing and reporting the on- and off-balance sheet liquidity risk exposures of the bank. The Liquidity and Funding team is looking to hire an Analyst to partner closely with other teams in Corporate Treasury such as Capital Planning, ALM, and Investments teams as well as Liquidity Risk Oversight and Internal Audit. One of your key responsibilities will be to develop and enhance the implementation of internal liquidity stress testing. Partner effectively with key stakeholders from first, second and third lines of defense. Assist the team in enhancing and overseeing implementation of the firm's Internal Liquidity Stress Tests per regulatory guidance Implementation of US liquidity rules (US LCR, NSFR) and FR 2052a reporting. Measure, monitor and report liquidity KRIs in alignment with approved limits. Assist in the calibration of liquidity stress scenarios, assumption methodologies and limit levels. Interpret and oversee the implementation of U.S. liquidity rules (US LCR, NSFR, STWF) and 2052a reporting. Monitor and manage firm-wide and legal entity liquidity positions. Liaison with regulatory agencies on liquidity reviews, exams, and ongoing meetings.
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Job Type
Full-time
Career Level
Entry Level