Liquidity Risk Manager Resume Samples

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JR
J Reichert
Jarrell
Reichert
53416 Valerie Meadow
Chicago
IL
+1 (555) 691 9443
53416 Valerie Meadow
Chicago
IL
Phone
p +1 (555) 691 9443
Experience Experience
San Francisco, CA
Liquidity Risk Manager
San Francisco, CA
Frami-Nolan
San Francisco, CA
Liquidity Risk Manager
  • Aid the creation of the management framework around Basel III Liquidity Risk
  • Create and deliver presentations articulating key risks and portfolio changes to senior management in a timely fashion
  • To support London and European businesses through effective management of changes in the regulatory framework and accurate reporting
  • Create and refine existing stress model assumptions and controls (limits, guidelines, etc…) for LOB and relevant products and activities
  • Preparing and presenting briefings to senior management on key risk issues
  • Partner with reporting teams to develop and enhance the reporting specific to LOB and relevant legal entities
  • Providing liquidity risk oversight for various legal entities within the UK Group and EMEA, engaging in key regulatory processes from PRA and other regulators
Dallas, TX
Liquidity Risk Manager, AVP
Dallas, TX
King Inc
Dallas, TX
Liquidity Risk Manager, AVP
  • System developments and New products
  • Excellent knowledge of products in a dealing room context
  • Risk Monitoring and Control
  • Liquidity Stress Testing
  • Interest rates in the Banking Book and Market Risk
  • In depth knowledge of Liquidity Risks stress testing techniques
  • Flexibility to adapt to changing day-to-day priorities whilst simultaneously achieving longer term project based deadlines
present
San Francisco, CA
Senior Liquidity Risk Manager
San Francisco, CA
Williamson-Runolfsson
present
San Francisco, CA
Senior Liquidity Risk Manager
present
  • Work closely with Treasury and senior management to identify emerging ALM and liquidity risks and conduct analysis
  • Develop analytical framework for independent risk review and approval process including the assessment of assumptions used in the liquidity stress metrics
  • Excellent team work ethics
  • Produce reports and present analyses to senior management and regulators
  • Participate in the development of Liquidity Policy and Standards
  • Strong financial market knowledge of Fixed Income, capital markets, and banking products
  • Conduct independent research projects focused on liquidity risks
Education Education
Bachelor’s Degree in Business Administration
Bachelor’s Degree in Business Administration
University of North Texas
Bachelor’s Degree in Business Administration
Skills Skills
  • Experience with contingent funding plan (CFP) or asset and liability management (ALM) highly desirable; working knowledge with ILAA and SLRP
  • Quantitatively oriented with strong intuition and ability to make judgments based on incomplete data
  • In-depth knowledge of derivative products and their applications; knowledge of derivatives margining and collateral management
  • Strong knowledge of banking and custody products and businesses and how they impact the balance sheet, off balance sheet, as well as intraday settlements
  • Knowledge of derivative products and their applications; knowledge of cash and collateral management
  • An ability to synthesize data/information across teams and summarize findings for presentation to senior management; and,
  • Knowledge of cash and collateral management
  • Strong work experience in a risk management discipline at a financial institution, ideally with a focus on funding/liquidity or counterparty credit risk management; derivatives risk management experience
  • Professional demeanour at all times
  • A similar role in Treasury department, Consultancy or Business Unit with exposure to Liquidity Management, Resolution Planning, Global Markets and/or Banking products
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12 Liquidity Risk Manager resume templates

1

Liquidity Risk Manager Resume Examples & Samples

  • Engage with LOB on initiatives to optimize liquidity, review new products, mitigate risk, etc…
  • Partner with control functions (i.e., Finance, Risk) to leverage reports, routines, processes and systems
  • 7+ Years of analytical experience with a financial institution
2

Liquidity Risk Manager Global Banking LRM Resume Examples & Samples

  • Facilitate LOB ownership through outreach and education to ensure the business understands their liquidity position and risks to it, how they can influence it, and the economics of their business decisions
  • Create and refine existing stress model assumptions and controls (limits, guidelines, etc…) for LOB and relevant products and activities
  • Partner with reporting teams to develop and enhance the reporting specific to LOB and relevant legal entities
3

Liquidity Risk Manager Resume Examples & Samples

  • Aid the creation of the management framework around Basel III Liquidity Risk
  • Refine and manage Liquidity Risk appetite
  • Ongoing challenge and review of calibration and technical implementation of Basel III regime and internal risk appetite metrics
  • Monitoring of position vs risk appetite and forecasting
  • Day to day management and ongoing execution of mitigating actions from a Treasury perspective (both unsecured and secured)
  • Working with the Investment bank to drive appropriate mitigation strategies
  • Regular interaction with regulators, both technical and position driven
  • Sound understanding of the Basel Liquidity Regime
  • Sound understanding of the existing UK Liquidity rules / environment
  • Sound understanding / experience in Liquidity Risk Management
  • Robust execution skills, ability to work in a fast and busy environment
  • Must have excellent interpersonal skills and the ability to communicate effectively at all levels with a methodical approach to work and the ability to anticipate situations
  • Promotes and demonstrates a positive attitude
  • Shows commitment to the firm
  • Professional demeanour at all times
  • Must display confidence and be able to remain calm under pressure
4

Derivatives Liquidity Risk Manager Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the Firm’s derivatives activities, collateralized and uncollateralized, bilateral and centrally cleared, and across the breadth of trading and hedging strategies employing derivatives
  • Leading projects to investigate and improve the risk representation of the Firm’s liquidity risk, contingency funding plans, asset-liability management, and stress testing framework
  • At least five years of work experience in financial risk management or funding/liquidity management; bank treasury and/or derivatives trading experience a plus
  • In-depth knowledge of derivative products and their application across trading and hedging strategies
5

Intraday & Intercompany Liquidity Risk Manager Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the Firm’s cash management and intercompany activities
  • Preparing and presenting briefings to senior management on key risk issues
  • Excellent academic background, preferably an advanced degree in a quantitative discipline
  • At least five years of work experience in financial risk management or funding/liquidity management; bank treasury and/or cash management experience a plus
  • In-depth knowledge of intraday activities such as trade settlement, clearing agent activities, collateral posting, and overnight funding operations across time zones, currencies and jurisdictions
  • Broad knowledge of financial products across derivatives, interest rates, foreign exchange, equities and credit instruments
6

Liquidity Risk Manager Resume Examples & Samples

  • Strong knowledge of banking and custody products and businesses and how they impact the balance sheet, off balance sheet, as well as intraday settlements
  • Strong understanding of treasury instruments and/or settlement processes
  • Alternatively, a deep understanding of Liquidity Regulations
  • Experience of interpreting regulatory/product/legal requirements and applying them to the business
  • Hands on experience of scenarios and table top reviews
  • It is anticipated that candidates are likely to have strengths in some, but not all areas required. Therefore, the ability to learn new skills and apply them is critical
  • The role will be a Trusted Advisor to Treasury and the Business Unit and so needs the gravitas and presence to constructively challenge, influence and work collaboratively with these parties
  • Presence will also be required for presentations to the BRC, ALCO and MLRC
  • Strong and concise communication skills (verbal and written) are required
  • The successful candidate will need to be well organized and be able to evolve Liquidity
  • Risk Management in a cost effective manner commensurate with Northern Trust’s risk profile and regulatory requirements
  • Ownership of the Corporate Liquidity Risk Management Policy, Limits and Thresholds
  • Leadership of the definition of Scenarios and Scenario Assumptions. These are used to establish liquidity buffers and risk appetite, and to test contingent funding plans
  • Assurance through review and testing of Treasury Metrics, Reporting and of the Scenario outputs
  • Advising & challenging the annual production of BU Liquidity Risk Profiles, and incorporating them into the Resolution Plan as appropriate
  • Advising & challenging on liquidity aspects of new products and businesses, principally through the New Products and Processes Review program
  • Understanding and applying liquidity regulations
  • Present reviews and results to senior management and governance committees
  • 10 or more years of risk management or compliance experience
7

Liquidity Risk Manager Resume Examples & Samples

  • Run stress processes and coordinate with analytics team on reporting
  • Build controlled process as migrate data queries and stress calculations into system
  • Document process and own procedures
  • Coordinate across stress team to ensure results are accurate and well explained
  • Coordinate with tech and data management on operational efficiencies
  • Manage a team of 2-4 analysts
  • BS/BA (Finance/Accounting Preferred)
  • 8+ years analytics experience within financial institution
  • Comfort working with complex financial products
  • Advanced Excel, Modeling, Data Manipulation and Power Point
  • Management/Supervisory experience
  • Liquidity risk management experience including stress modeling for a large, global financial institution
  • Experience designing financial metrics and reports
  • Experience working on a large system implementation, preferably a liquidity risk management system
  • Experience in preparing and making presentations to executive management and financial regulators
8

Derivatives Liquidity Risk Manager Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the UK Group’s derivatives activities, collateralized and uncollateralized, bilateral and centrally cleared, and across the breadth of trading and hedging strategies employing derivatives
  • Leading/executing projects to investigate and improve the risk representation of the Firm’s liquidity risk, contingency funding plans, asset-liability management, and stress testing framework
  • Experience with contingent funding plan (CFP) or asset and liability management (ALM) highly desirable; working knowledge with ILAA and SLRP a plus
9

Liquidity Risk Manager Resume Examples & Samples

  • Maintaining active dialogue with trading desks, corporate treasury, risk management colleagues, and other support groups regarding trading and hedging strategies, risk representation, and limit compliance
  • Collaborating with senior front line business professionals in enhancing liquidity planning, liquidity stress testing, limit setting and asset/liability management
  • Leading/executing projects to investigate and improve the risk representation of the Firm's liquidity risk, contingency funding plans, asset-liability management, and stress testing framework
  • Excellent academic background, preferably an advanced degree in a quantitative discipline or equivalent
  • Work experience in financial risk management or funding/liquidity management; bank treasury and/or derivatives management experience a plus
10

Liquidity Risk Manager Resume Examples & Samples

  • MLRM Treasury & Liquidity assesses and oversees the risks of the Treasury function on a strategic basis, recommending corrective actions where necessary, and is also responsible for risk management including measurement and limit setting for Treasury and Liquidity activities
  • The mandate of the MLRM Treasury & Liquidity is to oversee all risks of the Treasury function by either direct coverage (Treasury Market and Liquidity risks) or in connection with specialised risk management departments, e.g. Credit and Operational Risks
  • Participate in the definition of risk appetite (and corresponding limits, targets, and thresholds) of entities in the region
  • Work with regional Head MLRM Liquidity to define and develop requirements for risk updates to APAC governance (Risk Committees, Management Control Committees & other Liquidity related forums)
  • Monitoring of the liquidity risks for major APAC entities under both internal and regulatory risk metrics
  • Provide commentary on regional risk developments in the regional risk updates and provide input to global risk monitoring governance
  • Conduct deep dives into risk positions and review risk metric assumptions
  • Support responses to regional information requests and self-assessments from regulators
  • You will be responsible for working with senior management and subject matter experts, mainly in Treasury, Risk and Finance to build out a Liquidity risk function that is fit for 2nd line of defence purpose
11

Liquidity Risk Manager Resume Examples & Samples

  • Assist in the production and submission of all liquidity regulatory returns, including resolution of BAU queries, validation of the returns and supporting commentary
  • Monitor RBC Liquidity ratios against internal and external limits, including investigation of movements in the ratios
  • Presentation of Management Information covering key aspects of liquidity risk
  • Maintain and enhance the control framework, including procedures manuals and business process diagrams
  • Assist with other initiatives including projects and business planning
  • Keep abreast of industry changes and ensure readiness for COREP liquidity reporting regime
  • Collaborate and build relationships with other stakeholders including the Front Office businesses, GRM, Corporate Treasury, and Finance
  • Train the team to ensure sufficient bandwidth and mitigation of key dependencies
  • Experience of liquidity reporting
  • Knowledge of investment banking products
  • Experience of liaison with Front Office
  • Used to working independently and managing work to completion against deadlines
12

Senior Liquidity Risk Manager Resume Examples & Samples

  • Develop analytical framework for independent risk review and approval process including the assessment of assumptions used in the liquidity stress metrics
  • Conduct analytical assessment of liquidity risks, including review of assumptions, funding plans, and limit breaches
  • Participate in the development of Liquidity Policy and Standards
  • Work closely with Treasury and senior management to identify emerging ALM and liquidity risks and conduct analysis
  • Conduct independent research projects focused on liquidity risks
  • Produce reports and present analyses to senior management and regulators
  • Broad understanding of liquidity risks and balance sheet management
  • Strong financial market knowledge of Fixed Income, capital markets, and banking products
  • Understanding of Financial systems and risk reporting tools
  • Ability to think strategically and understand implications of liquidity risk management to firm-wide balance sheet and capital management
  • Treasury Product Knowledge
  • Experience in risk management, numerical analysis, Finance and other Control functions
13

Liquidity Risk Manager Resume Examples & Samples

  • Provide independent oversight and control of all liquidity market risks including liquidity in relation to algorithmic trading
  • Continuously monitor the financial markets and measure the impact on MS’s portfolio
  • Develop a suite of comprehensive stress tests that highlight all key risks in the global and local portfolio
  • Create and deliver presentations articulating key risks and portfolio changes to senior management in a timely fashion
  • Leading/executing projects where required, including regulatory deliverables
  • Knowledge of financial products is essential, including an understanding of risk representations (greeks) of equity products in particular
  • A solid understanding of risk management concepts such as VaR, stress testing, scenario analysis, and capital is required
  • Strong proficiency with PowerPoint and Excel is essential; VBA or other programming skills as well as a working knowledge of databases and SQL is highly advantageous; Fluency in a statistical software package such as R, SAS or Matlab is also favourable; more generally, the candidate needs to be very comfortable using a variety of IT applications
  • The risk analysis produced by the department is used to brief senior management and needs to be both timely and accurate. It is therefore essential that candidates are able to demonstrate diligence as well as strong quantitative and investigative skills. Attention to detail, project management and prioritization skills will also be key in balancing daily deadlines with timely implementation of strategic projects
14

Liquidity Risk Manager Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the UK Group’s liquidity and funding activities, including derivatives, prime brokerage, secured and unsecured funding
  • Leading/executing projects to investigate and improve the risk representation of the Firm’s liquidity risk, contingency funding plans, asset-liability management, stress testing framework, independent reporting and limits framework
  • Assessing the implications that the Group’s funding decisions may have on its market risks
  • Strong work experience in financial risk management with a focus on funding/liquidity management; derivatives risk management experience a plus
  • Knowledge of derivative products and their applications; knowledge of cash and collateral management
  • Previous experience of managing small teams
  • Implementation-oriented – a desire to take ideas and solutions and make them a reality
15

Market & Liquidity Risk Manager Resume Examples & Samples

  • Experience in working in a risk environment with equities; vanilla and exotic equity derivatives
  • In depth experience in the analysis of derivative products including, VaR, Greeks, stress testing and an appreciation of modelling
  • Solid understanding of equities, equity cash trading, equity options markets, strategies in merger arbitrage trading
  • Strong communication skills and confidence to challenge the trading team, senior business and support management
  • Strong quantitative academic background
  • Computer literacy in Excel, VBA and Access
16

Liquidity Risk Manager Resume Examples & Samples

  • Stress testing risk management practice. Understanding of parameters and methodologies in defining stress testing framework. Ability to explain period over period drivers of stress testing results
  • An understanding of financial statements and balance sheet analysis
  • Coordinating regulatory requests (including CCAR), including delivery of stress results and coordination of response to regulatory questions
  • An understanding of risk system and involvement with technology support to enhance system data for risk monitoring
  • An ability to synthesize data/information across teams and summarize findings for presentation to senior management; and,
  • Risk management (including Market Risk, Liquidity Risk, Credit Risk)
17

Treasury & Liquidity Risk Manager Resume Examples & Samples

  • As a Treasury & Liquidity Risk Manager you will be responsible for the oversight of the newly established Dublin Branch. The entity will have a material balance sheet with an extensive prime services offering, including cash and synthetic prime brokerage
  • The successful Liquidity Risk Manager will maintain and present liquidity risk measurements and metrics to senior management on a weekly, monthly, and ad hoc basis for governance oversight and escalation
  • Additional responsibilities include the determination of risk appetite, establishing risk monitoring, and maintaining ongoing interaction with EMEA and the Group Treasury & Liquidity team
  • As an integral member of the EMEA Treasury & Liquidity team the role will involve working with senior colleagues and subject matter experts, mainly within the Treasury, Risk, and Reporting functions, on both a local and global basis
18

Liquidity Risk Manager Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the UK Group’s liquidity and funding activities, including derivatives, FX and unsecured funding
  • Strong work experience in a risk management discipline at a financial institution, ideally with a focus on funding/liquidity or counterparty credit risk management; derivatives risk management experience a plus
  • Knowledge of cash and collateral management
19

Liquidity Risk Manager, AVP Resume Examples & Samples

  • Liquidity Stress Testing
  • System developments and New products
  • Excellent quantitative and problem solving skills. Open to Market risk profiles
  • In depth knowledge of Liquidity Risks stress testing techniques
  • Ability to deliver practical solutions in a demanding high-pressure environment
  • Excellent academic references up to and including degree level in a quantitative discipline, higher degree desirable
20

Liquidity Risk Manager, VP Resume Examples & Samples

  • Lead an independent review program that validates the effectiveness of the liquidity risk management practices across all US operations. You’ll also have a hand in planning and building out the independent review program
  • The results of your high-profile assessment activity inform senior governance committees, the Chief Risk Officer of the Americas and our Board
  • Respond to evolving regulatory and organizational change, develop and support additional enterprise risk functions as required, keeping you at the pulse of emerging trends and challenges as our company continues to grow and excel
  • Expertise you’ll bring to the table may include one or more subject areas such as: Liquidity Risk, Enhanced Prudential Standards, Basel 3/Advanced Approaches, Enterprise Risk Management, Heightened Standards, Operational Risk, Credit Risk, Market Risk, and/or similar risk management and bank capital-related disciplines
  • Prior experience in audit, assessment, compliance, validation, GRC tools, risk management, driving change, project management or similar will position you for success
  • This position interacts at multiple levels across the company, including very senior levels. A proven high level of interpersonal skills is key for this role
  • Keen analytical skills and a high level of written and verbal communication will be essential to your success in this position
  • A seasoned professional with a high level of independent judgment and skills in such areas as: liquidity risk management, risk information systems and tools, bank risk management processes, project management, executive-level reporting, and institutional change leadership
  • An individual with a high level of experience and comfort navigating a changing environment, developing and executing complex plans, and building new risk systems and processes, and communicating effectively at all levels of the organization
  • Seasoned professional with 7-10 years of experience and bachelors’ or higher/equivalent degree in risk, finance or related field
  • Successful track record in Liquidity Risk Management, including liquidity risk reporting and regulatory compliance for large banking institutions, is required
  • Industry experience in banking, liquidity, treasury, wholesale or retail credit, market or operational risk management, and/or capital markets is highly desirable
  • Applicable experience may include
21

Liquidity Risk Manager, VP Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the UK Group's liquidity and funding activities, including derivatives, FX and unsecured funding
  • Leading/executing projects to investigate and improve the risk representation of the Firm's liquidity risk, contingency funding plans, asset-liability management, stress testing framework, independent reporting and limits framework
  • Managing and training junior members of the team
  • Excellent academic background, preferably an advanced degree in a quantitative discipline (or equivalent)
  • Broad knowledge of financial products across interest rates, foreign exchange, equities and credit instruments
  • Quantitatively oriented with strong intuition and ability to make judgments based on incomplete data
22

Liquidity Risk Manager Resume Examples & Samples

  • Deep knowledge of liquidity risks stress testing techniques
  • Excellent knowledge of products in a dealing room context
  • Proficiency in Excel and VBA
  • Excellent quantitative and problem solving skills
23

Liquidity Risk Manager Resume Examples & Samples

  • Evaluate the adequacy and effectiveness of liquidity risk management processes, including liquidity stress test processes and assumptions
  • Assess whether liquidity risk management function complies with regulations, supervisory guidance, and sound business practices
  • Formal, written assessments of liquidity risk management
  • Comprehensively review and effectively challenge (but not limited to)
  • At least 7 years of experience in Treasury, Risk Management, or Consulting, or Regulatory Authority (e.g. FRB or OCC), and at least 1 year in Liquidity Risk
  • Must have excellent writing proficiency with strong research capabilities and analyses
  • Ability to build effective working relationships across Treasury, Risk Management, Audit, business lines, regulators, and other areas
  • Experience working in (or with) the FRB and/or OCC in liquidity risk examination Specific experience in the following (but not limited to): LCR, NSFR, FR 2052a, CFP, and Liquidity Stress Testing
  • Knowledge and expertise in asset and liability cash flow behaviors in stressed conditions (and business as usual conditions), e.g. for non-maturity deposits, prepayments, etc
  • Strong understanding of industry best practices, regulatory guidance, and financial market conditions to oversee risk management activities
  • Professional certification such as CFA, FRM, CPA, etc
  • Ability to adapt to evolving conditions, e.g. new regulatory requirements, methodology changes, etc
  • Ability to understand, synthesize, and communicate complex concepts to senior management
  • Master’s degree
24

Liquidity Risk Manager Resume Examples & Samples

  • Develop liquidity expertise in a group with significant leadership visibility, strategic initiatives and heightened regulatory focus
  • Key contributor on major liquidity initiatives related to regulatory and technology deliverables
  • Analyze stress testing assumptions, manage complex data sets and produce reporting at the enterprise, legal entity and line of business levels
  • Enhance current stress testing processes, data and reporting to ensure assumptions can be revised, refined or updated to adapt to business, regulatory and market changes
  • Prepare presentations for liquidity stress results and assumption changes leveraged extensively with senior leadership and externally with regulators
  • Manage testing and implementation of data changes as well as research and remediation of data quality issues
  • Monitor, review and interpret new regulations and changes impacting liquidity stress assumptions
  • 5+ Years of relevant experience with a financial institution (e.g. Treasury, Risk, Operations, Finance)
  • Experience in preparing presentations to senior management and regulators
  • Advanced Excel, Modeling, Data Manipulation
  • Advanced Power Point
  • Analytical Abilities/Financial Acumen/Problem Solving
  • Global Markets experience (e.g., Secured Funding, Prime Brokerage, Derivatives)
  • Liquidity or stress testing experience including stress modeling for a large, global financial institution
  • Experience designing financial reporting and working with large data sets
25

Liquidity Risk Manager VP Resume Examples & Samples

  • Identifying, assessing and monitoring liquidity risks related to the liquidity and funding activities, including derivatives, prime brokerage, secured and unsecured funding
  • Involvement in regulatory exercises including ILAAP and RRP
  • Independent interpretation of liquidity regulation
  • Understanding business drivers of liquidity risk. Performing liquidity sensitivity analyses and “what if” analysis to understand liquidity impact of trades and business strategies
  • Ensuring strong liquidity risk governance frameworks across legal entities, including appropriate policies and procedures
  • Excellent academic background, preferably degree in a quantitative discipline
  • Strong work experience in financial risk management with a focus on funding/liquidity management
  • Knowledge of LCR, NSFR, RRP
  • Experience with contingent funding plan (CFP) or asset and liability management (ALM) highly desirable; working knowledge of ILAAP and L-SREP
  • Excellent communication skills for written, graphical and verbal presentation
26

Treasury Market Risk & Liquidity Risk Manager Resume Examples & Samples

  • Responsible for reporting and monitoring of Corporate Treasury market and liquidity risks on a daily and monthly basis according to prescribed Market Risk Policies
  • Involvement in the ICAAP, ILAAP & RRP processes
  • Review and challenge liquidity stress testing results
  • Responsible for scenario analysis and stress testing of IRRBB under various (behavioural) market conditions
  • Produce periodic market risk and liquidity risk reporting for senior management and committee review, and to support financial and regulatory disclosures
  • This function will support the development and implementation of policies and procedures to measure and monitor market risk and liquidity risks by legal entity and across the EMEA region
  • Master’s degree in a numerate discipline desired
  • Proven experience in Market Risk required
  • Treasury market risk and liquidity risk experience from a second line of defence perspective is required
27

Liquidity Risk Manager Resume Examples & Samples

  • Funding sources and uses
  • Net funding requirements and FTP
  • Contingent liquidity requirements and CFTP
  • Use of Legal Entities
  • Strategy and initiatives; and
  • Regulator engagement
  • 10 years of experience in financial services with expertise in Liquidity
  • Strong understanding of one or more of securities, derivatives, secured funding, prime brokerage or banking products – focusing on product lifecycle events, accounting entries, cash flows
  • Strong Analyst / Management accounting background
  • Understanding of Liquidity Management and Liquidity Regulation requirements, processes and practices at BofAML or a peer institution
  • Presentation skills (written/spoken) and ability to influence at a senior level
  • A similar role in Treasury department, Consultancy or Business Unit with exposure to Liquidity Management, Resolution Planning, Global Markets and/or Banking products