Working with a prominent American Investment Bank growing rapidly across America and Canada. Currently they are actively building out a first line liquidity team in their Tampa office and are looking to hire a Liquidity Senior Associate/Associate to come join the team.
Responsibilities
- Liquidity Planning & Cash Flow Forecasting - Support Finance leadership in developing and enhancing both short-term and long-term cash flow forecasting to strengthen the firm's liquidity framework.
- Operational Oversight & Execution - Manage ongoing liquidity processes, ensuring the timely production of accurate and high-quality financial deliverables.
- Financial Analysis & Reporting - Prepare detailed liquidity reports and analyses for the Board of Directors and key management committees.
- Regulatory & Risk Compliance - Collaborate with Risk Management, Internal Audit, and regulators to address inquiries and ensure adherence to evolving regulatory requirements.
- Issue Identification & Resolution - Investigate liquidity reporting discrepancies and provide strategic recommendations for resolution.
Requirements
- 3+ years of liquidity experience
- Risk Management & Mitigation - Experience in identifying, assessing, and mitigating financial risks to support effective financial planning.
- Regulatory Compliance - Knowledge of regulatory expectations and requirements for Large Financial Institutions (LFI).
- Strategic Financial Planning - Ability to apply financial insights to support business growth and regulatory preparedness.
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