Liquidity Risk & Treasury Ops Lead (Hybrid)
Manulife
Montreal
Hybrid
CAD 86,000 - 156,000
Full time
Job summary
A leading financial institution in Montreal is seeking a Manager for Liquidity Risk Management and Treasury Operations. This role is crucial for optimizing the bank's profitability and managing liquidity risk. The successful candidate will have over 5 years of relevant experience, advanced data analysis skills in tools such as Excel and SQL, and a strong educational background in finance or a quantitative field. Join a dynamic team that values collaboration and individual growth.
Benefits
Flexible working environment
Customizable health and wellness benefits
Retirement savings plans with employer matching
Qualifications
- 5+ years experience working in a liquidity risk function in the banking sector.
- Previous treasury operations experience is a significant asset.
- Proficiency in data analytics using advanced Excel features.
Responsibilities
- Lead liquidity risk management by overseeing risk models and liquidity metrics.
- Consult on pricing and product strategies while executing Treasury funding.
- Manage the production of the monthly ALCO reporting package.
Skills
Liquidity risk management
Data analysis
Team collaboration
Attention to detail
Adaptability
Education
Undergraduate degree in Finance, Economics, Accounting, or quantitative field
Tools
A leading financial institution in Montreal is seeking a Manager for Liquidity Risk Management and Treasury Operations. This role is crucial for optimizing the bank's profitability and managing liquidity risk. The successful candidate will have over 5 years of relevant experience, advanced data analysis skills in tools such as Excel and SQL, and a strong educational background in finance or a quantitative field. Join a dynamic team that values collaboration and individual growth.