Get AI-powered advice on this job and access more exclusive features.
Direct message the job poster from Finance Professionals Inc.
Expertise with Candidate Sourcing for Banking Positions
Contract Duration: 7 months
Location: Hybrid (3 days in office) | Downtown, Toronto
Daily Responsibilities
This key role within Corporate Treasury involves supporting the Controller of Client’s Liquidity Measurement by providing regulatory, management, and financial liquidity reporting. The focus is on enhancing internal controls around processing and analyzing liquidity data to ensure timely, accurate, and reliable information.
Key Accountabilities
- Assist and guide technical staff in developing mapping logic for source data feeds
- Configure and extract position data using internal Enterprise Risk System to generate business-specific products, forecast future cash flows, create new products/accounts, model customer behavior, reconcile position data with the general ledger, and develop regulatory reports
- Develop and generate reports in required formats for submission to regulatory bodies
Essential Program/Technology/Software Knowledge
Describe how the selected candidate will utilize these skills and tools.
Must-have Skills, Experiences, and Qualifications
- Strong proficiency in SQL
- Advanced Excel skills
- Undergraduate degree in engineering, mathematics, physics, or computer science, plus a graduate degree in business, economics, or MBA
- At least 4 years of relevant work experience
- Practical knowledge of financial data mapping concepts and processes
- Solid understanding of business-specific banking products
- Experience with data warehousing, relational databases, and information flow
- Knowledge of risk measurement (market, credit, liquidity) and valuation methods in capital markets and banking products
- Ability to identify, analyze, and resolve project issues
- Proficiency with spreadsheets, Access databases, and presentation software
- Ability to interpret ambiguous inputs and user requirements, questioning and investigating to clarify
- Capacity to communicate complex technical and business concepts effectively
- Proven skills in business analysis and problem-solving
Nice-to-have Skills and Experience
- Experience with data visualization tools such as Tableau
- Background in Financial Institutions
- Understanding of liquidity risk (Liquidity Adequacy Requirements)
- Flexibility to adapt to changing demands on short notice
Seniority Level
Employment Type
Job Function
Industries