Lead Financial Resource Management - Liquidity Methodology & Analytics - Executive Director
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Job Description
The Corporate and Investment Bank Treasury is seeking a motivated professional to join the Liquidity Methodology and Analytics team where you will own the liquidity agenda for EMEA Markets Treasury Liquidity Modelling—optimize funding, liquidity, and profitability while shaping the next generation of liquidity analytics and methodology. You’ll sit at the nexus of Markets, Risk, Technology, and Treasury, turning regulation and market dynamics into actionable insights, scalable tools, and real P&L impact.
As the Liquidity Methodology and Analytics Executive Director, you will partner with the business, risk, and technology teams to provide subject matter expertise on liquidity risk, market dynamics, and regulatory developments to help ensure liquidity frameworks are aligned with regulatory requirements and internal policies. This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quanti...