Apply for the VP, Capital & Liquidity Management Specialist position
"*" indicates required fields
Office Status: Hybrid (2 days per week in office)
Responsibilities:
- Maintain various reporting controls on data quality and model behavior;
- Work on control framework projects on improving transversal data review efficiency, data quality and documentations
- Oversight to Offshoring team support, including daily data quality control team and daily report production
- Supervision of staff level (1-3) expected
- Oversight responsibility with offshore teams
- Subject matter expert to support production team across reporting streams including daily funding dashboard reporting, daily cash flow forecasting reporting and liquidity stress testing report production
- Liaison on improving production issues including system feed issues, manual adjustments and follow up on related data enhancements with system projects;
- Assist in regulator reviews and internal audit reviews; participate in projects of system automations and enhancements, and model user-acceptance-testing (UAT)
- Work on short term solutions to stabilize data reporting by use of Alteryx or other tools, including macros/pythons to facilitate reporting process needs; and utilize knowledge of financial products (derivatives, equity and fixed income securities, structured products, broker dealer activities including prime brokerage and FCM activities).
- Interface with the Data Governance & Standards Officer for updates to standards, policy and procedures