What are the responsibilities and job description for the AVP Markets Liquidity Corporate Treasury position at Taurus Search?
DescriptionAnalyze strategic initiatives from a liquidity lens to strategize around funding and liquidity risk.Manage all liquidity reporting and analysis for the US & Canadian Broker Dealer entities, including Internal Liquidity Stress Testing, Liquidity Coverage Ratio, Limits and Early Warning Indicators.Lead deep dives to identify issues not captured by existing processes, and to fully understand risks and potential opportunities for enhancements Monitor the amount of funding used by various business lines and transfer price for liquidity..Enhance intraday liquidity monitoring and work to optimize funding with various desks.Keep up to date of regulatory developments and interpret the impact on Liquidity and Funding risk management measurement practices.Coordinate ALCO meeting materials for US and Canadian broker dealers.
Requirements3 years of experience in treasury, funding and liquidity at a broker dealer and/or bank.Intellectual curiosity and learning agilityExcellent communication and presentation skills.Ability to interact and build relationships with people from different departments and at varying levels of seniority.
Requirements3 years of experience in treasury, funding and liquidity at a broker dealer and/or bank.Intellectual curiosity and learning agilityExcellent communication and presentation skills.Ability to interact and build relationships with people from different departments and at varying levels of seniority.