Become a BMO Intraday Liquidity Specialist, where you will manage liquidity risk and enhance analytical capabilities across the organization. Collaborate globally to optimize financial strategies. In this pivotal role within Corporate Treasury, you will lead initiatives to measure and manage liquidity risk across various lines of business.
Your ability to analyze payment flows and develop risk mitigation strategies is vital as you work closely with stakeholders to drive operational changes. This position requires a strong understanding of regulatory requirements and liquidity management processes. Key Responsibilities:
- Oversee liquidity risk management frameworks and practices
- Conduct detailed analysis of intraday positions and risks
- Collaborate with various departments for liquidity optimizations
- Provide insights and guidelines for regulatory requirements
- Generate periodic reports and forecasts for management Requirements:
- Minimum of 5 years in relevant finance roles
- Solid understanding of risk management and payments
- Proficient in analyzing complex financial data
- Effective collaboration and communication skills
- Knowledge of automated solutions in risk analysis Utilize your expertise in liquidity management to contribute to BMO's financial excellence and operational efficiency.
📌 BMO Intraday Liquidity Specialist (Toronto)
🏢 Socket.dev
📍 Toronto
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