Prepare, review, and submit liquidity risk regulatory reports to OSFI and the Parent Bank, ensuring accuracy, completeness, and timeliness.
Maintain and enhance reporting processes, controls, and documentation related to liquidity risk measurement and reporting.
Perform monthly LCR forecasts and liquidity stress testing to support Treasury’s liquidity management and funding strategy.
Assist with daily market risk monitoring activities and the production of comprehensive risk reporting for senior management and committees.
Conduct 2LoD independent reviews of financial risk metrics to ensure adherence to internal policies, regulatory standards, and the Bank’s risk appetite statement (RAS).
Identify emerging risk trends and proactively elevate potential issues or control weaknesses.
Contribute to ongoing improvements in risk management methodologies, reporting tools, and regulatory complianc...