drjobs Associate, Funding and Liquidity Management, Australia

Associate, Funding and Liquidity Management, Australia

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1 Vacancy
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Job Location drjobs

Sydney - Australia

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Were building a relationship-oriented bank for the modern world. We need talented passionate professionals who are dedicated to doing whats right for our clients.

At CIBC we embrace your strengths and your ambitions so you are empowered at work. Our team members have what they need to make a meaningful impact and are truly valued for who they are and what they contribute.

To learn more about CIBC please visit

BUSINESS UNIT DESCRIPTION

Treasurys mandate is to actively manage CIBCs Balance Sheet capital and funding resources as well as structural interest rate liquidity and FX risks in support of our banks strategy. Treasury is an independent advisor to our operating businesses in the analytical pricing of products and strategies and has the accountability for establishing a value-added integrated fixed income investment management programs optimized to support CIBCs Treasury management objectives.

Treasurys active responsibilities include:

Liquidity risk management cash management and related settlement system risks; Collateral management across the group and with external entities and clearing corporations; Sourcing and execution of cost efficient funding of the Banks balance sheet within the constraints of liquidity balance sheet market and concentration limits; Optimization of the capital structure within the constraints of regulatory requirements flexibility and cost effectiveness to support strategic business plans; The creation and maintenance of a transparent and effective funds transfer pricing model; Development and implementation of a bank-wide balance sheet strategy aligned with the corporate strategy including initiatives to drive balance sheet optimization Measurement and management of balance sheet structural interest rate and FX risk; Management of regulatory central bank government industry and investor relations related to capital instruments financing vehicles and treasury related financial system risks.

JOB PURPOSE

Ensure effective funding within the region. Deliver effective liquidity funding and cash management and prepare liquidity reporting as well as preparing management information packs.

KEY ACCOUNTABILITIES

The key accountabilities of the role include:

REGULATORY COMPLIANCE

FUNDING AND LIQUIDITY MANAGEMENT

OTHER

CROSS-FUNCTIONAL RELATIONSHIPS

AUTHORITIES/COMPLIANCE REQUIREMENTS

KNOWLEDGE AND SKILLS

WORKING CONDITIONS

What you need to know

Job Location

1 Macquarie PlaceSuite4501

Employment Type

Regular

Weekly Hours

38

Skills

Corporate Treasury Finance Financial Reporting and Analysis Funding Liquidity Management Management Reporting Operations Processes Strategic Objectives

Required Experience:

IC

Employment Type

Full-Time

About Company

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