Join CIBC Mellon as the Director of Liquidity Management in Toronto, focusing on risk monitoring and regulatory reporting. This full-time role is central to balance sheet strategy and compliance.
This senior role requires a strategic leader to manage CIBC Mellon's liquidity management framework. You will assess performance metrics, lead stress testing initiatives, and provide critical advice on funding strategies. Collaborating with Treasury, Finance, and Risk, your insights will guide key management decisions and governance approaches.
Key Responsibilities:
• Prepare and deliver accurate liquidity risk reports
• Analyze and review key liquidity metrics
• Lead liquidity forecasting and management initiatives
• Ensure effective governance and policy execution
• Support development of contingency plans for liquidity risks
Requirements:
• Bachelor’s degree in Finance or Business required
• 8–10 years of relevant experience in Treasury
• CPA, CFA, or FRM designation preferred
• Robust knowledge of OSFI liquidity requirements
• Excellent analytical and presentation skills
Contribute to CIBC Mellon's commitment to liquidity excellence and regulatory adherence.
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📌 CIBC Mellon Liquidity Management Director Role (Ontario)
🏢 CIBC Mellon
📍 Ontario
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