Required Skills & Experience:
- Strong experience in Treasury Balance and Liquidity Management (TBSM).
- Hands-on experience with OSFI 2052a reporting and liquidity regulatory requirements.
- Solid understanding of banking operations balance sheet management and liquidity metrics.
- Expertise in business analysis requirement gathering and functional documentation.
- Experience with data mapping ETL and reporting tools.
- Knowledge of SQL Spark SQL or similar data querying tools.
- Strong analytical problem-solving and communication skills.
- Ability to work independently and collaborate effectively with cross-functional teams.
Preferred Skills:
- Experience in banking systems such as TLM Treasury or other relevant platforms.
- Exposure to automation tools (Power BI Power Platform Python) for reporting and dashboards.
- Understanding of cloud platforms Windows administration and PowerShell scripting.
- Industry certifications in Banking Treasury or Risk Management.
Key Responsibilities:
- Lead requirements gathering analysis and documentation for TBSM Treasury Balance and Liquidity initiatives.
- Serve as a subject matter expert (SME) on OSFI Liquidity reporting (2052a) and other regulatory requirements.
- Work closely with Treasury Finance and Risk teams to understand balance sheet and liquidity needs.
- Translate business requirements into functional specifications for IT development teams.
- Participate in design testing and implementation of Treasury Balance and Liquidity systems.
- Collaborate with data teams to ensure accurate data mapping transformation and reporting.
- Identify gaps suggest improvements and help implement process automation where applicable.
- Support internal and external audit processes related to TBSM and liquidity reporting.
Required Skills & Experience: Strong experience in Treasury Balance and Liquidity Management (TBSM). Hands-on experience with OSFI 2052a reporting and liquidity regulatory requirements. Solid understanding of banking operations balance sheet management and liquidity metrics. Expertise in business a...
Required Skills & Experience:
- Strong experience in Treasury Balance and Liquidity Management (TBSM).
- Hands-on experience with OSFI 2052a reporting and liquidity regulatory requirements.
- Solid understanding of banking operations balance sheet management and liquidity metrics.
- Expertise in business analysis requirement gathering and functional documentation.
- Experience with data mapping ETL and reporting tools.
- Knowledge of SQL Spark SQL or similar data querying tools.
- Strong analytical problem-solving and communication skills.
- Ability to work independently and collaborate effectively with cross-functional teams.
Preferred Skills:
- Experience in banking systems such as TLM Treasury or other relevant platforms.
- Exposure to automation tools (Power BI Power Platform Python) for reporting and dashboards.
- Understanding of cloud platforms Windows administration and PowerShell scripting.
- Industry certifications in Banking Treasury or Risk Management.
Key Responsibilities:
- Lead requirements gathering analysis and documentation for TBSM Treasury Balance and Liquidity initiatives.
- Serve as a subject matter expert (SME) on OSFI Liquidity reporting (2052a) and other regulatory requirements.
- Work closely with Treasury Finance and Risk teams to understand balance sheet and liquidity needs.
- Translate business requirements into functional specifications for IT development teams.
- Participate in design testing and implementation of Treasury Balance and Liquidity systems.
- Collaborate with data teams to ensure accurate data mapping transformation and reporting.
- Identify gaps suggest improvements and help implement process automation where applicable.
- Support internal and external audit processes related to TBSM and liquidity reporting.
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