Specialist – Liquidity Strategy & Resolution Planning
Company | Northern Trust |
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Location | Chicago, IL, USA, New York, NY, USA |
Salary | $114700 – $194900 |
Type | Full-Time |
Degrees | Bachelor’s |
Experience Level | Mid Level, Senior |
Requirements
- 3-5 year’s work prior liquidity risk management, financial risk, or other relevant experience working in a financial institution, regulatory agency, consulting firm, or related field.
- A college or university degree in Accounting, Finance, Economics, Statistics, Math, Engineering or another quantitative field.
- Familiarity with Liquidity Risk Management, Market Risk, Credit Risk, or Financial Risk.
- Proficient in Microsoft Excel and PowerBI.
- Strong analytical and quantitative skills, critical thinking, investigative problem-solving and decision-making abilities.
- Strong written and verbal communication skills with the ability to lead the development of senior management level presentations.
- Requires in-depth conceptual and practical knowledge in own job discipline and basic knowledge of related.
Responsibilities
- Help drive the development and maintenance of recovery and resolution planning ‘RRP’ scenarios and methodologies.
- Partner with Balance Sheet Modelling team, business line subject matter experts and risk management to ensure sound assumptions are developed that covers all products and external market considerations.
- Work with global liquidity partners in the development of resolution triggers.
- Own the production of monthly Liquidity Strategy meetings where upcoming balance sheet, client and product forecasts are considered to make liquidity management recommendations to the Treasurer and Treasury Senior Leadership team.
- Coordinate with Treasury functions; Investment Portfolio, Funding, Interest Rate Risk and International Treasury to plan for impacts to regulatory and internal liquidity measurements.
- Assist with the development and deployment of the enterprise liquidity Risk and Intraday liquidity frameworks.
- Coordinate balance sheet execution strategies with the Funding and Portfolio Management Teams.
- Lead coordination of liquidity collateral optimization across global Treasury.
- Work with the Global Liquidity Team to ensure consistent compliance with global liquidity supervisory regulations.
Preferred Qualifications
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No preferred qualifications provided.