Conduct cash & liquidity forecasting for the US Bank, Parent Company, & Broker-dealers to manage daily cash positions & ensure compliance with liquidity risk metrics. Remote work may be permitted w/ in a commutable distance from the worksite.
Reqs: Bach. or equiv. & 2 yrs exp. in: Developing & maintaining liquidity & cash forecasting models & performing complex quant analyses to support funding strategy & cash mgmt decisions; Monitoring risk metrics under US regulations, incl. Liquidity Coverage Ratio (LCR) & Internal Liquidity Stress Test (ILST), to ensure regulatory compliance & funding efficiency.
Req# 25032126. If interested apply online at www.bankofamerica.com/careers or email your resume to [email protected] & reference the job title of the role & requisition number. No phone calls. EOE.
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