Gestionnaire Risque de Liquidité et Trésorerie — Hybride
Company 58 - Manulife Bank of Canada
Toronto
Hybrid
CAD 86,000 - 156,000
Full time
Job summary
A forward-thinking bank in Toronto is seeking a Manager for Liquidity Risk Management and Treasury Operations. The ideal candidate will have 5+ years of banking experience, deep expertise in liquidity risk, and strong data analysis skills. You will lead liquidity risk management, oversee reporting processes, and consult on product strategies. This role supports profitability and offers a flexible hybrid working arrangement.
Benefits
Customizable health and dental benefits
Retirement savings plans
Generous paid time off program
Qualifications
- 5+ years experience in liquidity risk function in banking required.
- Previous treasury operations experience is a significant asset.
- Strong analytical skills and attention to detail required.
Responsibilities
- Lead liquidity risk management and reporting to OSFI.
- Advise on pricing and product strategies in consultations.
- Produce monthly ALCO reporting package to treasury leadership.
Skills
Liquidity risk expertise
Data analysis
Advanced Excel skills
SQL programming
Python programming
Education
Undergraduate degree in Finance, Economics, Accounting, or related field
Tools
A forward-thinking bank in Toronto is seeking a Manager for Liquidity Risk Management and Treasury Operations. The ideal candidate will have 5+ years of banking experience, deep expertise in liquidity risk, and strong data analysis skills. You will lead liquidity risk management, oversee reporting processes, and consult on product strategies. This role supports profitability and offers a flexible hybrid working arrangement.