
Job Category : | Management |
Company Name: | Bank of America |
Position Name: | Global Liquidity Management Manager |
Location : | 100 N Tryon St, Charlotte, NC 28202 |
Job Description : | Job Description: The Global Liquidity Management (“GLM”) team is part of the Corporate Treasury organization. The primary focus is to understand, measure, analyze, monitor, and influence liquidity utilization across the corporation, in order to ensure that Bank of America and its subsidiaries can meet all contractual and contingent financial obligations through typical market cycles as well as periods of stress. Our business partners include Global Funding, Enterprise Capital Management, Finance, Risk, and Lines of Business. The group works with business units to ascribe limits, guidelines and direction to the business in line with corporate objectives and in accordance with risk appetite statements. Role description: The manager will be a member of one of the Liquidity Management teams. Their primary focus with be providing product subject matter expertise for either Global Markets, Banking, Treasury Products, or US Regulatory Reporting. Responsibilities also include management of GLM eDIM (Enterprise Data Issue Management) remediation for the respective team. Responsibilities include: Manages Business Requirements from all Business Stakeholders, with clearly defined success criteria, to ensure conformance with regulatory rules and interpretations Oversees Functional Design Specifications – in conjunction with report owners and upstream data teams, develop data sourcing and mapping functional requirements to remediate data sourcing gaps and resolve known data mapping issues Confirms User Validation of Software & Operational Readiness (UAT testing) – Testing and Readiness approach is inclusive of technology and non-technology changes primarily focused on reparation of the reporting team’s governance framework. Partners with LOB, Data Management and Technology to strategize between data sourcing and work flows for liquidity risk reporting and/or products Work on ad-hoc projects as needed by senior management or regulatory requests Required Skills: Strong project management and organization skills with ability to coordinate partners across multiple organizations to deliver well-controlled, sustainable processes Ability to analyze and manipulate large quantities of data with great attention to detail as well as understand the flow of data within database applications Solid understanding of Treasury / liquidity concepts and liquidity regulations Excellent time management skills, including the ability to meet deadlines, and manage multiple priorities without sacrificing quality or timelines Excellent communication (written and oral), influencing and facilitation skills Ability to lead in a fast-paced, matrixed environment Self-motivated, self-directed Proficient with Microsoft tools (Excel, Word, PowerPoint) Experience with leading / managing a team 10+ Years of financial and/or data analytics experience with a financial institution Bachelor’s Degree in Finance, Accounting, Economics, Business or a related field – or related work experience Desired Skills: Regulatory Reporting, Liquidity Management, Accounting, Data Management or similar background/experience SQL, Database knowledge & ability to analyze data and related flows Experience working with quantitative models Knowledge of Banking and Capital market products Experience with Microsoft Suite – Word, PowerPoint, Excel, Workiva, Atlas/LIBRA, Blueprint, Diamond, Tableau Job Band: H4 Shift: 1st shift (United States of America) Hours Per Week: 40 Weekly Schedule: Referral Bonus Amount: 0 |