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Senior Liquidity Strategy Analyst

2 months ago


Charlotte, North Carolina, United States Bank of America Full time
Job Overview:

At Bank of America, our mission is to enhance financial well-being through meaningful connections. We are committed to Responsible Growth, which reflects our dedication to our clients, colleagues, communities, and shareholders.

We prioritize creating a diverse and inclusive environment for all our employees. Our investment in our team members and their families includes competitive benefits that support their overall well-being—physically, emotionally, and financially.

Bank of America values collaboration while also offering flexibility tailored to various roles within our organization.

Being part of Bank of America means embarking on a rewarding career filled with opportunities for learning, growth, and making a significant impact.

Position Summary:
This role is pivotal in shaping and executing optimal liquidity strategies across the bank, focusing on both routine operations and stress scenarios. Key responsibilities encompass overseeing liquidity utilization throughout the organization and contributing to process designs, risk management, and automation initiatives.

As part of the Corporate Treasury, the Global Liquidity Management team is tasked with assessing and analyzing the liquidity position of the enterprise, ensuring that Bank of America and its subsidiaries can fulfill all financial obligations during normal and stressed market conditions.

The Senior Analyst will collaborate closely with the Traded Products Liquidity Management team, providing expertise in derivatives and working directly with the Fixed Income trading desk. This role involves analyzing liquidity requirements for the Global Markets line of business, focusing on contractual obligations, contingent risks, cash flow forecasting, and stress testing.

Key Responsibilities:
  • Evaluate, analyze, and report on the bank's current and projected liquidity status, offering guidance to enhance liquidity across business units while supporting regulatory and management reporting.
  • Oversee risk management processes and ensure compliance with internal and regulatory liquidity reporting standards.
  • Collaborate with various Lines of Business (LOBs) to establish limits and guidelines that align with the bank's overall objectives and risk framework.
  • Monitor liquidity risk trends and analyze the relationship between business activities and liquidity usage, enhancing reporting capabilities.
  • Review and ensure compliance with liquidity regulations and maintain up-to-date documentation.
  • Streamline reporting processes and enhance analytical capabilities through advanced technologies.
  • Contribute to monthly and quarterly reports, disclosures, and presentations for Risk Committees and regulatory bodies.
  • Develop and refine liquidity stress model assumptions for testing scenarios.
  • Engage with Global Markets to assess the impact of daily operations on liquidity metrics and identify efficiency improvement opportunities.
  • Analyze new business initiatives for their liquidity and funding implications.
  • Ensure compliance with regulatory documentation requirements.
  • Support additional projects within Liquidity Management as needed.
Required Skills:
  • Strong analytical and quantitative skills, with experience in financial modeling.
  • Excellent communication abilities, both written and verbal.
  • Proven experience in the financial industry, particularly with financial products.
  • Ability to work independently and drive project goals across various functions.
  • Self-motivated with a strong intellectual curiosity.
Preferred Qualifications:
  • Bachelor's degree in Business or a related field.
  • Knowledge of Prime Brokerage, derivatives, or secured funding.
  • Experience with liquidity modeling and regulatory frameworks.
  • Familiarity with automation tools.
Shift:
1st shift (United States of America)

Hours Per Week:
40