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Treasury Balance Sheet Lead - Liquidity & Forecasting

Vaco Recruiter Services

Toronto

On-site

CAD 135,000 - 160,000

Full time

30+ days ago

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Job summary

A leading financial institution is looking for a Treasury Team Lead to oversee liquidity risk management and forecasting. The ideal candidate will have 7-10 years of finance-related experience, a relevant degree, and designated qualifications such as CPA or CFA. This role is pivotal in advising on liquidity strategies and involves collaboration across various departments to ensure effective risk management.

Qualifications

  • 7-10 years of experience in finance, accounting, bank treasury, or capital markets.
  • Experience in Treasury and management of liquidity risk.

Responsibilities

  • Lead and develop a team of Treasury professionals for liquidity risk management.
  • Manage forecasting process for Wholesale Bank's liquidity needs.
  • Advise on liquidity position to support business objectives.
  • Provide leadership on liquidity initiatives and policy reviews.

Skills

Liquidity Risk Management
Capital Markets
Finance or Accounting

Education

Post-secondary degree in Finance, Business, Risk, or Economics
Valued designations: CPA, FRM, CFA, MBA
Job description
A leading financial institution is looking for a Treasury Team Lead to oversee liquidity risk management and forecasting. The ideal candidate will have 7-10 years of finance-related experience, a relevant degree, and designated qualifications such as CPA or CFA. This role is pivotal in advising on liquidity strategies and involves collaboration across various departments to ensure effective risk management.
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