Drive forward-thinking liquidity strategies at BMO as an Intraday Liquidity Management Lead. This role focuses on optimizing liquidity risk and enhancing financial analytics across the organization.
In this pivotal position, you will guide the Bank's intraday liquidity framework, collaborating with internal stakeholders to address regulatory and operational needs. Your expertise will influence how BMO analyzes and manages liquidity risks, ultimately shaping the organization’s financial strategies in a dynamic landscape.
Key Responsibilities:
• Lead intraday liquidity analysis and forecasting efforts • Collaborate on risk appetites and establish thresholds • Conduct real-time monitoring of liquidity risks • Partner with Treasury and Finance on strategic initiatives • Provide expertise on adaptive liquidity solutions
Requirements: • Minimum 5 years of experience in finance or treasury • Robust background in liquidity and risk management • Advanced analytical skills for complex data sets • Excellent communication and influencing capabilities • Working knowledge of AI tools in financial risk management
Utilize your expertise to strengthen BMO's liquidity management as we adapt to evolving financial landscapes.