Job Description

BMO offers a key Analyst role in Liquidity Risk Management focused on balance sheet strategies. Collaborate with Corporate Treasury to monitor and optimize funding risk effectively.
This position is vital in maintaining oversight of liquidity within Capital Markets Treasury. You will support strategic initiatives through detailed analysis, reporting, and the development of automation tools. The role provides an excellent opportunity to deepen your expertise in financial regulations and liquidity management.
Key Responsibilities:
• Manage reports on liquidity and collateral usage
• Create automated dashboards for financial tracking
• Assist product initiatives with analytical support
• Engage proactively with Lines of Business for liquidity needs
• Support crisis management reporting and frameworks
Requirements:
• 2-5+ years in capital markets or Treasury services
• CPA/CFA/FRM is a plus
• Proficient in data management tools like Power BI
• Familiarit...

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