Corporate Treasury - US Banks Liquidity Risk Management, Associate/AVP jobs in United States
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Morgan Stanley · 6 hours ago

Corporate Treasury - US Banks Liquidity Risk Management, Associate/AVP

Morgan Stanley is a global leader in financial services, seeking an Associate in their Liquidity Planning & Coverage team within Corporate Treasury. The role involves managing liquidity initiatives, collaborating with various departments, and ensuring compliance with regulatory requirements.

Asset ManagementFinanceFinancial ServicesLending

Responsibilities

Collaborate with a varied group of colleagues in Finance and across the Firm
Responsible for and lead a significant set of deliverables, leveraging advanced understanding of Finance functional area, product and/or client segment
Proactively identify emerging risks in individual and department work and contribute to strategies for mitigating them
Act as a role model and culture carrier; Embody and set an example of the Firm's values and hold yourself and others accountable to Firm standards
Set and analyze Morgan Stanley’s US Banks’ liquidity requirements driven by internal and regulatory metrics including the Internal Liquidity Stress Test (ILST), Liquidity Coverage Ratio (LCR) and the Net Stable Funding Ratio (NSFR)
Work with Liquidity Controllers to run the various liquidity stress tests and resolve production issues as they occur
Coordinate with Liquidity Risk Department (LRD), Model Risk Management (MRM), Controllers and IT to implement model enhancements; includes writing business requirements and running user acceptance testing
Forecast liquidity requirements for non-bank entities as part of the Comprehensive Capital Analysis and Review (CCAR)
Work with Liquidity Controllers on attributing the liquidity reserve to each Business Unit
Conduct the forecasting of Morgan Stanley’s liquidity resources and requirements under various scenarios, liaising with Corporate Treasury Forecasting and Planning team, Firm Resource Strategy (FRS), Bank Chief Investment Office (CIO) and other Finance stakeholders
Monitor Morgan Stanley’s liquidity risk and keep various management committees such as Asset Liability Committees (ALCOs), and the Liquidity Risk Compliance Committee (LRCC) informed on the approach taken to manage liquidity risk
Evaluate movements in the Firm and US Banks’ liquidity resources and requirements and present findings to senior management, including at various management committees
Participate in the assessment of New Product Approval (NPA)
Support regulatory requests including data analysis, liaising with other groups and presentation of findings
Ensure that the liquidity stress test models and their corresponding documentation are kept up-to-date through regular recalibrations, ongoing performance monitoring and back testing

Qualification

Corporate TreasuryLiquidity Risk ManagementLiquidity Stress TestingMicrosoft OfficeCFAAnalytical SkillsCommunication SkillsInterpersonal SkillsTeam Collaboration

Required

4-7 years of experience
Advanced understanding of Corporate Treasury, e.g., capital, liquidity or funding, as well as of industry and competitive environment
Ability to provide positive and constructive feedback and acknowledge efforts of team members
Ability to articulate risk and impact to various audiences, and create plans to mitigate those risks
Excellent communication and interpersonal skills for interaction with teams across both local offices and globally
Well-developed analytical capabilities, including ability to summarize complex business problems and detailed analysis with clarity and brevity
The ability to work in a fast-paced, high-energy level environment
Advanced knowledge of Microsoft Office products
At least 5 years' relevant experience would generally be expected to find the skills required for this role

Preferred

CFA or equivalent is a plus

Benefits

Commission earnings
Incentive compensation
Discretionary bonuses
Other short and long-term incentive packages
Other Morgan Stanley sponsored benefit programs

Company

Morgan Stanley

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Morgan Stanley is a financial services company that offers securities, asset management, and credit services.

Funding

Current Stage
Public Company
Total Funding
unknown
1997-02-05IPO

Leadership Team

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James Gorman
Chairman and CEO
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Wei Christianson
Co-CEO Asia Pacific
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Company data provided by crunchbase