Senior Manager, Liquidity Strategy & Governance

TD Bank Group Cherry Hill , NJ 08002

Posted 3 weeks ago

Job Requirements

Develop strategies for optimizing the Bank's liquidity across all US entities

Subject matter expert to support strategic Bank initiatives and requirements; for example: M&A, Recovery and Resolution Planning, CCAR/Dodd Frank compliance

Ensure compliance with all applicable regulations and internal requirements governing Liquidity Risk Management requirements for the Bank

Govern and monitor liquidity risk management by establishing and maintaining policies, frameworks, and metrics

Present to senior management timely liquidity information and other critical information for decision making purposes

Manage reviews and examinations with internal and regulatory oversight bodies; responsibilities may include gather gathering evidence and artifacts and resolving findings as needed

Must be eligible for employment under regulatory standards applicable to the position.

Job Description

Lead Treasury Balance Sheet Management's Liquidity Strategy, Regulatory and Governance team.

Qualifications

Bachelor's degree in Business, Finance or Economics or Master's degree in Finance.
7+ years' experience required

Employment Type

Regular


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Senior Manager, Liquidity Strategy & Governance

TD Bank Group