Provide subject matter knowledge on expectations and requirements for liquidity capabilities
Assist in the development of balance sheet, income statement, and other financial data
Provide review and challenge on forecasting assumptions, projection results, and utilization of RLAP and RLEN methodologies and frameworks to estimate liquidity needs
Perform data quality checks and data reconciliation to promote alignment with firm and regulatory requirements
Support maintenance of forecasting capabilities for recovery and resolution scenario generation
Support continuous improvement of capability processes
Knowledge, Experience, and Skills
Education: Bachelor’s degree in business, finance, economics, or related fields
Experience: 6-10 years of relevant experience in corporate treasury, risk management, financial regulation, project management, or similar fields
Knowledge of liquidity management is a plus
Excellent communication skills are imperative (i.e., ability to make complex subjects easily digestible for senior management)
Exercised proven PowerPoint and Excel skills; experience with financial modeling, data analytics, or financial forecasting tools is a plus
Ability to multitask in a fast-paced environment
Ability to interact with all levels of management
Strong work-ethic, innovative and adaptable with positive attitude and willingness / ability to pick up work quickly when and where needed
Fin Solutions Dsgn & ImplementFull timeNew York New York United States$142,320.00 - $213,480.00