Job responsibilities
- Serve as a trusted advisor to the Cash, Liquidity, and FX businesses.
- Understand liquidity/deposit drivers for client decisions and partner with sales and product teams on deposit pricing.
- Lead the development and approval of new business initiatives, understand risks, and implement controls.
- Conduct in-depth reviews of liquidity and FX products, competitors, client segments, and sensitivity analysis.
- Manage deposit forecasts across changing interest rate and liquidity environments.
- Lead the business budget process for deposits, supported by Product Controllers and P&A.
- Drive investment and productivity initiatives to achieve multi-year targets.
- Align front office teams and support groups to achieve business priorities around the liquidity agenda.
- Compile and present monthly business reviews, new business tracking, and regulatory reviews.
- Monitor key performance indicators, highlight trends, and offer considerations to maximize profit and reduce risks.
- Develop ad-hoc analytics to help the business understand and manage costs, risks, and growth opportunities.
Required qualifications, skills, and capabilities:
- Motivated, supportive, and focused on personal development and knowledge sharing.
- Initiative-driven, independent problem solver with the ability to set direction.
- Demonstrated ability to influence and partner with business leaders.
- Commercial acumen with a focus on improving the bottom line for liquidity.
- Effective communicator capable of creating logical and conclusive presentations.
- Strong attention to detail.
- Good understanding of interest rates, liquidity, and deposits.
- Expert Microsoft PowerPoint and Excel skills.
Preferred qualifications, skills, and capabilities
- Experience in financial services or a related field.
- Familiarity with regulatory requirements and compliance.