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Liquidity Risk Measurement Manager

2 months ago


Toronto, Ontario, Canada Royal Bank of Canada> Full time

Position Overview

The Manager of Liquidity Measurement is responsible for the comprehensive assessment and reporting of liquidity risk metrics within the Corporate Treasury for the Canada Region. This role plays a critical part in the management of liquidity risk, ensuring that all metrics are produced accurately and in a timely manner.

Key Responsibilities

  • Generate daily, monthly, and quarterly liquidity reports for various business sectors, including domestic wholesale and global derivatives.
  • Analyze and decompose liquidity positions to provide insights into risk exposure.
  • Work collaboratively with both front and back office teams, as well as technology partners, to enhance reporting and clarify liquidity positions.
  • Establish and maintain robust liquidity analysis and data integrity controls to ensure precise liquidity measurement.
  • Develop new analytical capabilities and refine existing ones to adapt to the changing landscape of liquidity management.
  • Engage in User Acceptance Testing and collaborate on systems development projects with IT teams.
  • Consult with stakeholders regarding the liquidity implications of new products and evaluate their impact on liquidity positions.
  • Participate in cross-functional and cross-regional initiatives to drive improvements in liquidity management.

Qualifications

Essential Requirements

  • Bachelor's degree in finance or commerce.
  • Minimum of 2 years of experience in financial or regulatory reporting within financial institutions.
  • Strong grasp of banking balance sheets and financial products.
  • Familiarity with capital markets instruments and operational processes, including cash management and settlements.
  • Exceptional analytical and problem-solving abilities.
  • Detail-oriented with a thorough and conscientious approach.
  • Ability to thrive in a fast-paced environment with tight deadlines.
  • Self-motivated and capable of working independently.
  • Team-oriented with strong collaborative skills.
  • Excellent communication and interpersonal skills.

Preferred Qualifications

  • Professional designations such as CFA or CPA, or a Master's degree in finance.
  • Proficiency in programming with VBA Excel and knowledge of SQL.
  • Understanding of risk management tools and techniques.

Skills Required

Analytical Thinking, Commercial Acumen, Critical Thinking, Decision Making, Financial Regulation, Interest Rate Risk Management, Risk Management, Strategic Thinking, Treasury Management.