Lead liquidity management as a Cash and Liquidity Manager for RBC Insurance. Focus on optimizing cash flow and ensuring risk compliance for robust financial operations. In this role, you will collaborate with the Total Fund Management team to enhance cash flow strategies. With 4–7 years of experience in cash and liquidity management, you’ll leverage your financial expertise to develop liquidity dashboards and forecasts.
Your role involves assessing liquidity needs, optimizing cash movements, and providing insights for short-term investments. Key Responsibilities:
- Develop and maintain a daily liquidity dashboard
- Assess liquidity needs with various stakeholders
- Build short and long-term cash flow forecasts
- Optimize cash movements for financial returns
- Monitor regulatory standards for liquidity management Requirements:
- 4–7 years of relevant finance experience
- Undergraduate degree in Finance, Economics, or related
- Robust understanding of risk compliance
- Proven collaboration with cross-functional teams
- Experience in process improvement and automation Support financial strategy and optimize liquidity management at RBC Insurance.
📌 Cash and Liquidity Manager at RBC (Toronto)
🏢 Socket.dev
📍 Toronto
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