Join TD as a Treasury Liquidity Manager and drive liquidity risk management initiatives in Toronto, Ontario. This role focuses on implementing cutting-edge liquidity frameworks and working collaboratively with finance and risk teams. Reporting to the Senior Treasury Manager, you will contribute to the Liquidity Applications and Implementation team.
Your role will involve developing comprehensive business requirements for stress testing and regulatory applications in wholesale banking. You will leverage your knowledge to manage liquidity for both trading and non-trading assets effectively. Key Responsibilities:
- Assess new liquidity methodologies for various products
- Manage ongoing priorities with project stakeholders
- Validate implementation of liquidity metrics through UAT
- Build relationships with key internal partners
- Enhance liquidity reporting and analytics capabilities Requirements:
- 3-5 years in Treasury or Finance roles
- Familiarity with liquidity risk systems and tools
- Experience with Excel, VBA, and Python
- Ability to communicate complex data effectively
- Knowledge of liquidity regulatory frameworks Help TD Bank excel in liquidity management through cutting-edge solutions.
📌 Treasury Liquidity Manager Toronto
🏢 TD
📍 Toronto