
Director Liquidity
Taurus Search, New York, NY, United States
Minimum eight years of recent experience working within a liquidity management and/or risk management function preferably in Financial services industry
Minimum of bachelors degree from an accredited college/university; prefer Masters degree in the fields of study business administration / management, Economics, Finance, Mathematics, Statistics
Knowledge of liquidity management, including intraday liquidity management, cash management, cash flow forecasting and funding planning; and knowledge of liquidity requirements under Reg YY, OCC bulletins and Federal Reserve SR letters
Strong leadership and communication skills, technical knowledge and the ability to write at a publication quality level in order to communicate findings and recommendations to the clients and senior management team and proficiency in executing project management
Must be authorized to work in the U.S. without the need for employment-based visa sponsorship now or in the future
Responsibilities
Develop frameworks and methodologies to facilitate asset and liability management, funding and liquidity planning and internal limit stress testing and capital management Provide gap assessments as well as design and implementation of processes to facilitate asset liability management, funding and liquidity planning and stress testing and capital management Plan and execute enhancements focusing on Liquidity Risk, Liquidity Regulatory Reporting, Internal Liquidity Stress Testing, Funds Transfer Pricing (FTP) and Resolution and Recovery Planning Requires close collaboration with various teams including business units and risk management
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Develop frameworks and methodologies to facilitate asset and liability management, funding and liquidity planning and internal limit stress testing and capital management Provide gap assessments as well as design and implementation of processes to facilitate asset liability management, funding and liquidity planning and stress testing and capital management Plan and execute enhancements focusing on Liquidity Risk, Liquidity Regulatory Reporting, Internal Liquidity Stress Testing, Funds Transfer Pricing (FTP) and Resolution and Recovery Planning Requires close collaboration with various teams including business units and risk management
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