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Treasury and Liquidity Risk Management @ Toronto
2 weeks ago
**Role - Treasury and Liquidity Risk Management** **Location Toronto, ON -Hybrid** **Duration Long Term** Understands the Treasury and Liquidity Risk Management Trading products such as Repos, Reverse Repos, Sec Lending, Options, Swaps etc. and how does their data reflect in Treasury Risk Metrics. rom Global Markets (Capital Markets point of view). Means the person understands the Liquidity Risk Management Cash flow modeling and liquidity gap reports Deposit Modeling: Core-Volatile Approach, Interest-Rate sensitive, Lifecycle, or Replicating Portfolio) Line of Credit (draw downs and pay offs) Funds Transfer Pricing Methodologies Strip or Match funding Risk-adjusted (hypothetical hedge instrument) Tractors and index rates Replicating portfolio approach Accounting or rules based" Thanks & Regards, **_Harshaja_** Apptoza Inc. Phone#:647-953-1625