Senior Analyst, Cash Management and Intraday Liquidity - 57339
This job is in your area. Enjoy a short commute and work close to home.
Job Description
Start Date: April 6th
Duration: 04/01/ to 12/31/ β 18 months
Extension possible: No
Conversion Possible: Possible depending on the business
Work Location: 4 days in office, Toronto ON
CANDIDATE PROFILE DETAILS:
Degree/Level of Education: Post Secondary degree in Finance, Business, Risk or related field
Years of Overall Experience: 3-5 yrs β Finance experience
How will performance be measured: Deliverables and quality of work
Preferred/Ideal Candidate Background: experience in related fields of Finance, Treasury or Payments β New Grad is accepted, accounting background.
Department Overview
The Treasury and Balance Sheet Management (TBSM) department of Bank is responsible for overseeing the management of Bank's: Non-Trading Market Risk, Liquidity Risk and Capital Position
The Cash Management team within TBSM is responsible for forecasting the daily cash flows for TBSM and Retail, managing and maintaining s...