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A leading Canadian financial institution located in Southwestern Ontario is seeking a Manager for Liquidity Risk Management and Treasury Operations. This role will focus on developing strategies to enhance the bank’s liquidity risk management while ensuring compliance with regulatory frameworks. Candidates should have a strong background in finance with over 5 years of relevant experience, and proficiency in advanced data analysis tools like Excel, SQL, and Python. A collaborative approach is essential for fostering internal relationships and driving operational efficiencies in a hybrid work environment.