Elevate your career as a Senior Manager in Balance Sheet Management at Scotiabank in Toronto, Canada. This pivotal role demands expertise in Treasury strategies and risk management for effective financial governance.
In this senior leadership position, you will contribute to the Group Treasury's impact on International Banking. Your focus will be on managing balance sheet strategies and providing analytical support regarding interest rate and liquidity risks. Key responsibilities will include developing models, delivering advanced analytics, and collaborating with local Treasury teams to ensure compliance with risk management frameworks.
Key Responsibilities:
• Facilitate orchestration of Treasury strategies across International Banking
• Develop models for Structuring Interest Rate and Liquidity Risk
• Deliver scenario analyses on balance sheet growth and market movements
• Provide insights for ALCO discussions and management decision-making
• Partner with Treasury and risk management stakeholders on priorities
Requirements:
• Undergraduate/graduate degree in Finance or related field
• Strong experience in balance sheet management and Treasury
• Advanced knowledge of risk management concepts
• Familiarity with regulatory frameworks and data analytics tools
• Solid communication and collaborative skills
Drive impactful decision-making and risk governance in Balance Sheet Management at Scotiabank in Toronto.
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