Treasury and Liquidity Model Validation Manager
1 month ago
Job Summary:
We are seeking a highly skilled Treasury and Liquidity Model Validation Expert to join our team. As a key member of our model validation program, you will be responsible for ensuring the accuracy and reliability of our treasury and liquidity models.
Key Responsibilities:
- Validate treasury and liquidity models to ensure they meet regulatory requirements and are accurate and reliable.
- Assess model risk and identify areas for improvement.
- Develop and implement model validation strategies and plans.
- Collaborate with cross-functional teams to ensure model validation is integrated into our risk management framework.
- Provide technical advice and guidance on model validation and risk management.
- Stay up-to-date with regulatory requirements and industry best practices.
Requirements:
- 5-7 years of experience in model validation, risk management, or a related field.
- Strong knowledge of treasury and liquidity models, regulatory requirements, and risk management principles.
- Excellent analytical and problem-solving skills.
- Ability to communicate complex technical information to non-technical stakeholders.
- Strong collaboration and teamwork skills.
What We Offer:
We offer a competitive salary range of $74,800.00 - $138,600.00, a comprehensive benefits package, and opportunities for professional growth and development.
About Us:
We are a leading financial institution committed to delivering exceptional service and value to our customers. We are proud to be a diverse and inclusive workplace, and we welcome applications from candidates of all backgrounds.
How to Apply:
Please submit your application, including your resume and cover letter, to our careers website.
-
Treasury Analyst, Liquidity Management Framework
4 weeks ago
Toronto, Ontario, Canada Equitable Bank Full timeKey Responsibilities:The successful candidate will be responsible for the weekly and monthly measurement of liquidity and cash flow positions, ensuring the integrity of the liquidity and funding management process.Key Responsibilities Continued:Update all model input data and ensure accuracy of inputs and assumptions used in assessing liquidity...
-
Toronto, Ontario, Canada Astra North Infoteck Inc. Full timeTreasury and Liquidity Risk Management RoleAt Astra North Infoteck Inc., we are seeking a skilled Treasury and Liquidity Risk Management Specialist to join our team. The ideal candidate will have a strong understanding of Treasury and Liquidity Risk Management from a Global Markets perspective, with expertise in Trading products such as Repos, Reverse Repos,...
-
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,...
-
Treasury Manager
1 month ago
Old Toronto, Ontario, Canada TD Bank Full timeTreasury Manager - Liquidity Risk SpecialistJob Summary:We are seeking a highly skilled Treasury Manager to join our team at TD Bank. As a Liquidity Risk Specialist, you will be responsible for measuring and managing changes in TD Bank's cash flows, collateral pledging requirements, and funding needs to ensure adequate liquidity levels while minimizing...
-
Business Analyst with Treasury
3 weeks ago
Toronto, Ontario, Ontario, Canada Quantum World Technologies Inc. Full timePosition: BA Treasury/LiquidityLocation: TorontoWork Model: HybridPlease share strong and Relevant profiles only.• Understanding of key liquidity regulations such as LST, FR2052a, LCR, NSFR and NCCF.• Interact with Business team and analyze regulatory documents to decipher requirements.• Prepare Business Architecture & Business Requirement...
-
Senior Liquidity Management Specialist
1 week 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...
-
Treasury Liquidity Reporting Specialist
1 week 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,...
-
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...
-
Treasury Analyst
1 month ago
Toronto, Ontario, Canada Equitable Bank Full timeKey Responsibilities:The successful candidate will be responsible for measuring and managing liquidity and cash flow positions on a weekly and monthly basis, ensuring the integrity of the liquidity and funding management process.Key Skills and Qualifications:Undergraduate degree in Business or Mathematics with a broad understanding of finance and treasury...
-
Director, Strategic Liquidity Management
1 month ago
Old Toronto, Ontario, Canada Scotiabank Full timeJob DescriptionThe Director, Strategic Liquidity Management will lead the development of internal stress scenarios and corresponding assumptions to enhance the Liquidity Management role within Group Treasury. This role will provide thought leadership and guidance on the development of internal stress testing and scenario planning, supporting a more strategic...
-
Treasury Manager
1 month ago
Toronto, Ontario, Canada Holt Renfrew Full timeAbout the RoleHolt Renfrew is seeking a highly skilled and experienced Treasury Manager to join our finance team. As a key member of our leadership team, you will be responsible for overseeing cash management and sales audit, ensuring company liquidity needs are satisfied, and providing advisory support to our leadership team and other teams within the...
-
Senior Manager
1 week ago
Toronto, Ontario, Canada Royal Bank of Canada Full timeJob OverviewWe are seeking a seasoned Senior Manager to join our Model Risk Audit Team at Royal Bank of Canada. This is an exciting opportunity for a highly skilled professional to leverage their expertise in model risk management and audit.About the RoleThis key role will involve leading technical audit engagements related to various models, including AML,...
-
Treasury Operations Manager
1 month ago
Toronto, Ontario, Canada CaseWare Full timeJob Summary: We are seeking a highly skilled Treasury Operations Manager to join our team at Caseware. As a key member of our finance team, you will be responsible for managing all aspects of our corporate liquidity and cash flow, ensuring optimal financial operations and maintaining accurate financial records. Key Responsibilities: Monitor and manage...
-
Treasury Expert
2 weeks ago
Toronto, Ontario, Canada Black & McDonald Limited Full timeKey ResponsibilitiesThe Senior Treasury Analyst will play a crucial role in managing the company's cash flow, liquidity, and treasury operations. Key responsibilities include:Managing daily cash balances and ensuring sufficient liquidity to meet short-term funding requirements.Developing and maintaining positive relationships with the company's banks and...
-
Toronto, Ontario, Canada Scotiabank Full timeKey ResponsibilitiesAssist the Managing Director, GTB and Small Business Treasury, in managing capital, liquidity and funding requirements associated with the business activity of GTB and Small Business with the goal of optimizing balance sheet and funding utilization of the division.Support the Managing Director in managing capital, liquidity and funding...
-
Data Modeling Manager
1 month ago
Old Toronto, Ontario, Canada Bank of Montreal Full timeJob SummaryAs a Manager, Data Modeling, you will play a key role in validating and managing model risk for our Treasury and Liquidity portfolio. You will work closely with our team to develop and implement models, ensuring they are accurate and effective in managing risk.Key ResponsibilitiesValidate and assess model risk to ensure model appropriateness and...
-
Liquidity Risk Model Developer
2 weeks ago
Toronto, Ontario, Canada State Street Full timeWe are seeking a highly skilled Quantitative Analyst to join our Financial Engineering team at State Street. As a Liquidity Risk Model Developer, you will play a critical role in designing and developing custom models within the liquidity risk space.The successful candidate will have a strong background in quantitative analysis, with experience working with...
-
Toronto, Ontario, Canada Royal Bank of Canada Full timeJob DescriptionThe Group Risk Management (GRM) Balance Sheet and Liquidity Risk (BSLR) team is responsible for the second line of defense for all balance sheet and liquidity risks at the enterprise level. As Senior Manager, BSLR Methodology Governance and Model Validation, you will oversee the independent validation of methodologies, parameters, assumptions,...
-
Senior Treasury Analyst
2 weeks ago
Toronto, Ontario, Canada CB Canada Full timeTreasury Operations SpecialistJob SummaryCB Canada is seeking a highly skilled Treasury Operations Specialist to facilitate daily treasury operations, provide accurate cash reporting, and assist with bank structure management. The successful candidate will produce and monitor reports that aid in forecasting cash needs for the business and execute treasury...
-
Treasury Asset Manager
1 week ago
Toronto, Ontario, Canada Canadian Tire Corporation Full timeJob DescriptionWe are seeking a highly skilled Treasury Asset Manager to join our team at Canadian Tire Corporation. In this role, you will assist in accessing and maintaining strong liquidity for the Retail, Financial Services, and Canadian Tire Real Estate Investment Trust (CT REIT) segments.Responsibilities:Prepare analyses to support capital allocation...