<Back to Search
VP, Liquidity Forecasting & Management Reporting
New York, NYMarch 20th, 2026
A global financial services firm in New York is seeking a Vice President for its Commercial & Investment Bank Treasury Planning & Analysis team. In this strategic role, you will manage liquidity reporting and collaborate with stakeholders to optimize performance while adhering to regulatory constraints. The ideal candidate will have a bachelor’s degree with 5-10 years of relevant experience. Proficiency in Excel and a strong understanding of liquidity concepts are essential. This position offers a dynamic work environment with significant responsibilities.
#J-18808-Ljbffr