Drive financial strategy as a Treasury Manager at TD Bank in Toronto. This role focuses on Funds Transfer Pricing and Net Interest Income forecasting to elevate performance.
TD Bank’s Treasury and Balance Sheet Management department is seeking a Treasury Manager for its Toronto office. In this key managerial role, you'll be responsible for managing FTP reporting and analytics. You will analyze Net Interest Margins while developing infrastructure supporting pricing decisions and product profitability.
Key Responsibilities:
• Execute FTP Reporting and analytics for senior management
• Create concise PowerPoint presentations for stakeholders
• Analyze data for product initiatives and pricing strategies
• Resolve anomalies in Fund Transfer Pricing
• Coordinate recent product implementation with key stakeholders
Requirements:
• Post-secondary degree in Finance, Math, Business, or Economics
• Experience analyzing data for forecasting anomalies
• Proficient in SQL and Excel for data analysis
• Familiar with retail banking product characteristics
• Robust analytical capabilities and problem-solving skills
Leverage your finance expertise and analytical skills to shape the future of banking at TD Bank.
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📌 Treasury Manager At Td Bank Toronto
🏢 TD
📍 Toronto