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Bank Funding Trader
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Full-time
- Understanding of liquidity management, bank funding strategy, money markets, economic indicators and Federal Reserve programs.
- Works closely with the Senior Trader and Bank Funding Managers to make optimal trading decisions to execute the funding strategy set forth.
- These include business lines, other Treasury functions such as Balance Sheet Management (BSM), Enterprise Capital Management (ECM) and Global Liquidity Management (GLM), internal control partners, regulators, central banks, investors, and other market participants.
- The group actively monitors market conditions, investor sentiment, market liquidity, interest rates and Federal Reserve policy actions to support risk management decisions.
- Implementation of Treasury funding strategies necessitates flawlessly executing transactions with internal and external counterparties in accordance with liquidity constraints, capital constraints, internal risk metrics, legal limitations and regulatory directives.
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