Manager Reporting and Liquidity
6 months ago
Manager Reporting and Liquidity
Driven by technology and fuelled by innovation, HSB is Canada’s premier specialty insurance and applied technology services provider. Offering 150 years of technical and service excellence, we are focusing on emerging trends and unlocking new opportunities for clients. Today, we are accelerating, changing the future of insurance and risk solutions, for a modern world.
At HSB, we value the strengths and contributions of our diverse workforce. We offer continuous learning opportunities, giving you the flexibility to grow in your career while enjoying a healthy work-life balance and a collaborative approach in our coast-to-coast network of offices. Become part of a rewarding and impactful workplace experience while seeing first-hand technologies and risk solutions that are changing the way we live and work.
**Company**
HSB Canada
**Location**
Toronto, Canada
**Primary Objectives**:
Reporting to the VP Finance, the Manager Reporting and Liquidity is a key source of expertise in financial reporting and in the management of receivables and payables. This role is ideal for a business-minded, dynamic CPA holder who is equipped with a strong background in financial accounting, financial reporting and accounts receivable / accounts payable processes and procedures and is seeking to build a career with a niche insurance company.
**Responsibilities**:
- Leadership of a team to ensure the accurate and timely settlement of receivables and payables, as well as the delivery of monthly, quarterly and annual financial management reporting
- Financial Reporting, including oversight and responsibility for:
- Preparation of monthly US GAAP reporting packages
- Analytical review thereof, including comparison to IFRS17 on a quarterly basis
- Provision of key audit figures to the Manager - Technical Accounting as required
- Oversight and management of Receivables / Payable, including:
- Receipt, review and processing of external invoices including timely payment
- Receipt, review and processing of intercompany invoices including timely payment
- Business Process improvement including responsibility for:
- Increasing automation of management reporting packages
- Improving process documentation
- Talent, including coaching, mentoring, and development of team members
- Regulatory Reporting, including planning and coordinating the provision of key figures to the Manager - Regulatory Reporting
- Other ad hoc requests as they arise
**Qualifications**:
- Bachelor’s in Accounting or equivalent from an accredited university
- Recognized accounting designation, preference given to a Chartered Professional Accountant
- 5+ years’ experience in the accounting and insurance industry (preferably property & casualty)
- Thorough understanding of US GAAP and IFRS (including knowledge of IFRS 17)
- Knowledge of Power BI reporting tool an asset
- Ability to manage multiple priorities in a deadline-driven environment
-
Manager, Liquidity Regulatory Reporting
5 months ago
Toronto, Canada Scotiabank Full timeRequisition ID: 195000 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. **This is a 12 month, temporary full-time opportunity.** Group Liquidity and Global Cash Management is responsible for reporting and managing liquidity and funding risk for the bank. This includes liquidity management and strategy,...
-
Manager, Liquidity Regulatory Reporting
4 months ago
Toronto, Canada Scotiabank Full timeIs this role right for you? In this role, you will be responsible for: Producing Enterprise daily, monthly and quarterly regulatory reports such as LCR, NCCF, NSFR etc Producing liquidity MD&A and note disclosures Reconciling liquidity data to independent benchmarks Producing management reports to monitor positions against internal limits ...
-
Treasury Liquidity Reporting Specialist
2 weeks ago
Toronto, Ontario, Canada Scotiabank Full timeAre you a seasoned treasury professional looking for a new challenge?About the RoleLiquidity Regulatory Reporting ManagerWe are seeking a highly skilled Liquidity Regulatory Reporting Manager to join our team at Scotiabank. As a key member of our Treasury team, you will be responsible for producing high-quality regulatory reports, managing liquidity data,...
-
Toronto, Canada Scotiabank Full timeRequisition ID: 208263Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The Manager will be responsible for the process and deliverables associated with Funding and Liquidity Reporting. Is this role right for you? In this role, you will: Provide timely and actionable guidance to GT senior and...
-
Manager, Liquidity and Funding Management
5 months ago
Toronto, Canada BMO Financial Group Full time100 King Street West Toronto Ontario,M5X 1A1 Supports the build, management, and execution of an enterprise-wide liquidity and funding management framework to optimize risks and maximize risk-adjusted profitability. Provides expertise for the measurement, analysis, and oversight of the Bank’s global regulatory and internal funding risks arising from...
-
Manager, Liquidity Assumptions
5 months ago
Toronto, Canada TD Bank Full time**Manager, Liquidity Assumptions - Intraday Liquidity**: - 431950BR **Job Category - Primary** - Finance / Accounting **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **Province/State** - Ontario **Hours** - 37.5 **Workplace Model** - Hybrid **Pay...
-
Senior Liquidity Manager
2 weeks ago
Toronto, Ontario, Canada Equitable Bank Full timeAt Equitable Bank, we're redefining the future of banking. As a Senior Liquidity Manager, you'll play a critical role in shaping our liquidity management framework.Key ResponsibilitiesDevelop and maintain accurate liquidity forecasts, ensuring seamless integration with our funding management process.Create and update financial models to support liquidity...
-
Manager, Intraday Liquidity Risk Management
2 months ago
Toronto, Canada BMO Financial Group Full time100 King Street West Toronto Ontario,M5X 1A1 Supports the build, management, and execution of an enterprise-wide, intraday liquidity management framework to optimize risks and maximize risk-adjusted profitability. Provides expertise for the measurement, analysis, and oversight of the Bank’s global regulatory and internal intraday liquidity risks arising...
-
Treasury and Liquidity Risk Management
2 months ago
Toronto, Canada Atlantis IT group Full time**Role**: Treasury and Liquidity Risk Management Toronto **"Key Skills**: Understands the Treasury and Liquidity Risk Management from Global Markets (Capital Markets point of view). Means the person understands the Trading products such as Repos, Reverse Repos, Sec Lending, Options, Swaps etc. and how does their data reflect in Treasury Risk...
-
Treasury Manager, Enterprise Liquidity
5 months ago
Toronto, Canada TD Bank Full time**Treasury Manager, Enterprise Liquidity**: - 431611BR **Job Category - Primary** - Finance / Accounting **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **Province/State** - Ontario **Hours** - 37.5 **Workplace Model** - Hybrid **Pay...
-
Analyst, Liquidity and Funding
1 week ago
Toronto, Canada BMO Financial Group Full time100 King Street West Toronto Ontario,M5X 1A1 BMO Capital Markets is a leading, full-service financial services provider. We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets Management of liquidity and funding risk in BMO Capital Markets, including the...
-
Treasury Manager, Intraday Liquidity
5 months ago
Toronto, Canada TD Bank Full time**Treasury Manager, Intraday Liquidity**: - 414720BR **Job Category - Primary** - Finance / Accounting **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **Province/State** - Ontario **Hours** - 37.5 **Workplace Model** - Hybrid **Pay...
-
Treasury and Liquidity Risk Management
2 months ago
Toronto, Canada Q1 Technologies Full time"Key Skills: - Understands the Treasury and Liquidity Risk Management from Global Markets (Capital Markets point of view). Means the person understands the Trading products such as Repos, Reverse Repos, Sec Lending, Options, Swaps etc. and how does their data reflect in Treasury Risk Metrics. - Liquidity Risk Management - Cash flow modeling and liquidity...
-
Manager, Liquidity Risk
6 months ago
Toronto, Canada Scotiabank Full timeRequisition ID: 199192 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The Liquidity & Interest Rate Risk (LIRR) Group plays a key role in formulating the Bank’s risk appetite and governance framework, and provides individual oversight of the Bank's liquidity, structural and non-trading risks....
-
Senior Liquidity Management Specialist
2 weeks ago
Toronto, Ontario, Canada Equitable Bank Full timeAbout the RoleAs a Senior Liquidity Management Specialist at Equitable Bank, you will play a critical role in supporting the integrity of our liquidity and funding management process.ResponsibilitiesYou will be responsible for weekly and monthly measurement of Liquidity/cashflow position.You will update all model input data and ensure accuracy of inputs and...
-
Consultant, Funding and Liquidity Management
5 months ago
Toronto, Canada CIBC Full timeWe’re building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what’s right for our clients. At CIBC, we embrace your strengths and your ambitions, so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are...
-
Manager, Liquidity Risk
6 months ago
Toronto, Canada TD Bank Full time**Manager, Liquidity Risk**: - 416172BR **Job Category - Primary** - Risk Management **Work Location** - TD Centre - TD Tower - 66 Wellington Street West **Employment Type** - Regular **City** - Toronto **Time Type** - Full Time **Province/State** - Ontario **Hours** - 37.5 **Workplace Model** - Hybrid **Pay Details** **Department Overview** - The...
-
Manager, Liquidity Stress Testing
6 months ago
Toronto, Canada Scotiabank Full timeRequisition ID: 196886 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The Manager, Liquidity Stress Testing will contribute to the overall success of the Liquidity Stress Testing Management team within Group Treasury in Toronto ensuring specific individual goals, plans, initiatives are executed /...
-
Manager, Liquidity Risk
6 months ago
Toronto, Canada TD Bank Full time**Work Location**: Toronto, Ontario, Canada **Hours**: 37.5 **Line of Business**: Risk Management **Pay Details**: **Department Overview** **The Enterprise Liquidity Risk (ELR) team is part of the Market Risk department. As the second line of defence, ELR is responsible for providing independent oversight and challenge of the Bank's liquidity risk...
-
Toronto, Ontario, Canada Equitable Bank Full timeLiquidity Management Framework OverviewThe Treasury Analyst, Liquidity Management Framework role is responsible for providing critical support to the liquidity and funding management process.Measure and report weekly and monthly liquidity/cash flow positions to ensure the integrity of the liquidity management process.Manage and maintain model input data,...