Job Description
Take on a critical leadership role at BMO Financial Group as Vice President of Balance Sheet Strategy, specializing in liquidity optimization and funding management. This strategic position offers extensive involvement in regulatory and operational frameworks.
As part of BMO's Capital Markets Treasury team, you will analyze liquidity metrics, oversee funding strategies, and lead optimization initiatives. This role requires you to partner with various teams to enhance analytical capabilities and reporting processes. Your expertise will shape how liquidity and funding resources are allocated while ensuring compliance with key regulatory metrics.
Key Responsibilities:
• Supervise funding risk management and regulatory compliance
• Create timely management reports on liquidity activities
• Enhance liquidity and balance sheet forecasting tools
• Collaborate on new product reviews affecting liquidity
• Drive optimization initiatives for performance under constraints
R...
As part of BMO's Capital Markets Treasury team, you will analyze liquidity metrics, oversee funding strategies, and lead optimization initiatives. This role requires you to partner with various teams to enhance analytical capabilities and reporting processes. Your expertise will shape how liquidity and funding resources are allocated while ensuring compliance with key regulatory metrics.
Key Responsibilities:
• Supervise funding risk management and regulatory compliance
• Create timely management reports on liquidity activities
• Enhance liquidity and balance sheet forecasting tools
• Collaborate on new product reviews affecting liquidity
• Drive optimization initiatives for performance under constraints
R...