• Treasury Intraday Liquidity

    JPMorgan Chase (New York, NY)
    …supporting liquidity risk management . As a Sr. Associate in the Treasury Intraday Liquidity Management (Forecasting and Analytics) team, you ... unique opportunity to become a subject matter expert in intraday liquidity management , collaborate with...as Treasury , Funding, Payments, Securities Settlements, or Liquidity Risk Management + Must be proficient… more
    JPMorgan Chase (05/11/24)
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  • Analyst - Global Treasury Operations…

    American Express (New York, NY)
    …advisor as the expert on Intraday cash flows to provide insights to the Liquidity Risk Management team and Treasury senior leadership. + Execute and ... of the reporting. + Support the development & maintenance of all intraday process documentation (Policy, SOPs, PRSA, Sr. Management /Committee Reporting, BCP).… more
    American Express (05/13/24)
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  • CIB Treasury Liquidity and Analytics

    JPMorgan Chase (Brooklyn, NY)
    …leverage ratios; and consolidating management and regulatory reporting. As a CIB Treasury Liquidity Analytics Associate, you will be involved the delivery of ... stress assumptions, contributing to the resolution plan submission, producing liquidity risk metrics and analysis including intraday ... Risk Technology, Regional Treasury teams, Corporate Treasury , Liquidity Risk Management and… more
    JPMorgan Chase (04/24/24)
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  • Treasury and Chief Investment Office…

    JPMorgan Chase (New York, NY)
    …and present your findings to senior management . Your expertise in Treasury , Funding, Payments, Securities Settlements, or Liquidity Risk Management ... the firm's liquidity stress models, specifically for intraday liquidity . This role will allow you...as Treasury , Funding, Payments, Securities Settlements, or Liquidity Risk Management + Strong knowledge of… more
    JPMorgan Chase (04/14/24)
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  • Audit Senior Manager - Treasury

    American Express (New York, NY)
    …but not limited to internal liquidity stress testing, cashflow forecasting, intraday liquidity risk management , collateral management , contingency ... audit findings for the Treasury portfolio focusing on Liquidity Risk Management (LRM). + Effectively challenge the First- and Second-line Treasury more
    American Express (05/09/24)
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  • Risk Management - Liquidity Risk…

    JPMorgan Chase (New York, NY)
    …your findings to senior management . **Job Responsibilities** + Provide oversight on Treasury with a focus on liquidity risks arising within the Corporate ... to be best-in-class. As a Vice President in the Liquidity Risk Management division of Risk ...profile from a second line perspective, reviewing changes in intraday liquidity , monitoring limits and challenging structural… more
    JPMorgan Chase (03/14/24)
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  • Liquidity Risk Governance and Strategy

    US Bank (Charlotte, NC)
    …what you excel at-all from Day One. **Job Description** The Liquidity Risk Management organization in Corporate Treasury at US Bank is seeking an experienced ... Governance & Strategy team. As a leader within the Liquidity Risk Management team, this individual will...conceptual design of limits framework across monthly, daily, & intraday liquidity risk limits. **Basic Qualifications:** -… more
    US Bank (04/23/24)
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  • Advisory Financial Services Risk, Data…

    Deloitte (New York, NY)
    …of funding and liquidity risk, collateral management , asset and liability management , intraday liquidity and cash management , funds transfer ... Capital Markets + Experience with Liquidity Risk Management and other related Treasury functions, including associated data, models, processes and controls +… more
    Deloitte (05/16/24)
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  • VP, Markets Business Treasury

    Citigroup (New York, NY)
    …the success of the incumbent. **Responsibilities:** + Partner with Markets businesses and Treasury management to support execution of key business strategies and ... liquidity , interest rate risk, and capital metrics, balance sheet usage, intraday liquidity usage and daily funding requirements resulting from proposed… more
    Citigroup (05/10/24)
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  • Treasury /Chief Investment Office - Short…

    JPMorgan Chase (New York, NY)
    …daily in fixed and floating rate formats. + Partner with key contacts including Intraday Liquidity , Cash Management , Intercompany Funding Management , ... Treasury /Chief Investment Office (T/CIO) is responsible for firm-wide asset and liability management . Members of the Treasury and Chief Investment Office are… more
    JPMorgan Chase (05/16/24)
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  • Markets Business Treasury - Vice President

    Citigroup (New York, NY)
    …incumbent. **Responsibilities:** + Partner with Equities and Fixed Income businesses and Treasury management to conduct business activities that make most ... liquidity and capital stress metrics, balance sheet usage, intraday liquidity usage and daily funding requirements...Risk, Business and Technology + Collaborate with Legal Entity Treasury and Financial Resource Management (FRM) to… more
    Citigroup (05/10/24)
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  • Funding and Collateral Manager

    Huntington National Bank (Columbus, OH)
    intraday collateral management capabilities, particularly as it relates to intraday liquidity risk and contingency funding planning + Prepare reporting ... Description Summary: The Corporate Treasury Funding Desk is seeking a Funding and...alongside, and in close coordination with, the Reserve and Intraday Liquidity team to manage and optimize… more
    Huntington National Bank (03/30/24)
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  • Cash Flow Analyst

    City National Bank (Los Angeles, CA)
    …Knowledge** + Understanding of Treasury Operations with an emphasis on liquidity management . + Knowledge of balance sheet, income statement, and accounting ... gap mitigation for enterprise-wide data sourcing and automation projects. Supports liquidity /cash-flow reporting needs, including intraday , and submission of… more
    City National Bank (05/04/24)
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  • Foreign Exchange Associate

    Comerica (Dallas, TX)
    …Standards Policy. Conduct functions of funding, balance sheet and liquidity management for assigned branch. Work with Corporate Treasury on liquidity ... * Use Bloomberg, Refinitiv, Openlink, Spectrum, and CCM risk management systems along with intraday discussions with...development. * Conduct functions of funding, balance sheet and liquidity management . Work with Corporate Treasury more
    Comerica (05/11/24)
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  • Quantitative Analyst

    Citigroup (New York, NY)
    …analyze complex contracts. Develop analytics libraries used for pricing and risk- management using programming skills and software design principles. Develop and ... and sales gain knowledge of market to provide enhanced liquidity to clients. Identify drivers for market price movements...with KDB+ q, Python and C++. Calculate and stream intraday quotes to traders using web sockets. Develop analytical… more
    Citigroup (05/10/24)
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