Overview In this Senior Associate role, you shape liquidity strategy by converting balance sheet and market dynamics into actionable insights for a global financial institution. You'll work with Treasury leaders and key stakeholders to support resilient funding and liquidity outcomes, balancing rigor with clear, decision-ready communication. You'll monitor firm-wide liquidity and currency exposures, assist forecasting and internal stress measures, and contribute to strategic balance sheet initiatives. This role offers meaningful impact through cross-functional collaboration and data-driven problem solving.
Compensation / Benefits- comprehensive health care coverage
- retirement savings plan
- tuition reimbursement
- mental health support
- backup childcare
- financial coaching
Responsibilities- Monitor firm-wide and legal entity balance sheets and liquidity positions, including currency exposures
- Lead balance sheet and liquidity management coverage
- Assist liquidity forecasting for US LCR, US NSFR, and internal liquidity stress measures (ILST)
- Create presentations for Board of Directors, ALCO, senior management, and regulatory requests
- Participate in strategic initiatives around the Firm's balance sheet and liquidity management
Key requirements- Minimum 3 years of full-time experience in Treasury, Investment Banking, Risk Management, or Management Consulting
- Bachelor's and/or Master's degree in Finance, Economics, Engineering, or Mathematics
- Excellent collaboration, organizational and verbal/written communication skills
- Ability to work under pressure, prioritize multiple tasks, and close tasks effectively
- collaboration
- communication
- ability to work under pressure
- PowerPoint
- Excel
- Tableau