Bank of America Liquidity Risk Sr. Analyst in Charlotte, North Carolina

Job Description:

Position Description:

The Liquidity Risk Senior Analyst will be a member of the Enterprise Liquidity Risk Management Reporting and Analytics team, which is a subset of Global Liquidity Management (GLM) within Corporate Treasury. Position will be Charlotte-based. Given the enterprise-wide nature of the internal clients that this team supports, the candidate will gain broad knowledge of and exposure to the entire Company.

In addition to working with key business partners within the broader CFO Group, CFO Risk and GST/RRP, the candidate will work closely with other GLRM partners and Global Funding.

Responsibilities will include:

  • Assist in production of daily and monthly liquidity risk management reporting routines including Enterprise Daily Liquidity Snapshot, Liquidity Risk Daily Limit and Metric Report, Enterprise Monthly Liquidity Flash and Enterprise Monthly Liquidity Update

  • Assist in production of Liquidity Risk Management Forum and ad-hoc committee materials

  • Assist in data sourcing and report automation

  • Develop a robust understanding of liquidity risk drivers for specific businesses or products to support report commentary and analytics

Enterprise Role Overview:

Produce, monitor, and review liquidity reports. Develop processes to meet reporting requirements. Comply with and enhance documentation and control processes. Assist in data sourcing and analytics to improve liquidity risk reporting. Investigate reporting issues as they arise and escalate accordingly. Assist in defining technology requirements to enhance liquidity risk management capabilities. Participate in development of liquidity risk metrics, forecasting tools and early warning indicators. Assist in implementing new regulatory liquidity risk requirements. Develop and provide expertise in the liquidity risk drivers for specific businesses or products. Lead liquidity related projects. Create management presentations.

Required Skills


Proven Financial Analysis experience

Attention to detail and process orientation

Strong analytical and communication skills (both written and verbal), with the ability to ""tell the story"" in plain English

General business communications and presentation skills

Inquisitive mind, with the ability to proactively research trends and unexpected results; self-starter personality, high energy level

Experience in creating visually appealing presentation materials, tailored to various audiences, as appropriate

Ability to respond appropriately to time-sensitive requests

Demonstrated ability as a team player on a small team

Ability to interface credibly with various businesses and control partners at both junior and senior levels

Willingness to ""have a view"" and influence management reporting

Strong Word, Excel and PowerPoint skills

Desired Skills:

Experience developing, implementing and maintaining reporting in a consistent manner

Experience in Corporate Treasury, ideally with a financial institution

Experience in regulatory and/or management reporting

Experience working on a large system implementation

Involvement in presentations to management, financial regulators, boards of directors

Experience at Bank of America (knowledge of the enterprise)

3-5 Years of Experience

Posting Date : 12/21/2016

Location : US-NC-Charlotte

Travel : No

Full / Part-time : Full time

Hours Per Week : 40

Shift : 1st shift

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