Elevate your career with Scotiabank as Manager of Liquidity Regulatory Reporting in Toronto, on a 12-month contract. This role emphasizes liquidity strategies and comprehensive financial reporting. You will be integral to the Group Liquidity and Global Cash Management team, focusing on crucial regulatory reporting mechanisms, forecasting liquidity positions, and ensuring accurate data contributions to management reports.
Candidates should have a solid understanding of the liquidity regulatory environment and vast experience in financial reporting. Key Responsibilities:
- Lead liquidity regulatory reporting, including OSFI and US FR2052
- Generate financial disclosures and MD&A; reports
- Forecast and monitor liquidity positions
- Conduct thorough reconciliation of liquidity data
- Prepare business line reports for funding analysis
Requirements:
- 5+ years in banking with a treasury or regulatory focus
- Bachelor’s degree in relevant disciplines
- Expertise in Python, VBA, and data analytics tools
- Robust accounting knowledge and financial analysis skills
- Excellent verbal and written communication abilities
Leverage your analytical expertise in liquidity risk and reporting at Scotiabank to influence key financial decisions.
📌 Manager for Liquidity Management Reporting (Toronto)
🏢 Scotiabank
📍 Toronto
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