Bank of Montreal is seeking an experienced professional to join Corporate Treasury as an Intraday Liquidity Manager. You will help lead the enterprise intraday liquidity framework, coordinating funding, collateral, and risk-management across global activities. The role requires solid analytics, forecasting, and collaboration with business lines to mitigate liquidity risk and optimize operations with automation and AI capabilities. This is a full-time position in Canada.
📌 Intraday Liquidity Lead: Forecasting, Risk & Optimization (Toronto)
🏢 Bank of Montreal
📍 Toronto
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