Steer the firm’s liquidity strategy by managing the end-to-end issuance of money market instruments including CDs, commercial paper, and time deposits
Job Summary
Steer the firm’s liquidity strategy by managing the end-to-end issuance of money market instruments including CDs, commercial paper, and time deposits.
Act as a central liquidity hub, facilitating internal business funding by efficiently lending cash and managing deposit flows across global desks.
Play a critical role in de-risking the balance sheet by hedging liability exposure through interest rate swaps and sophisticated derivatives strategies.
Matching Summary
Steer the firm’s liquidity strategy by managing the end-to-end issuance of money market instruments including CDs, commercial paper, and time deposits.
Salary
$165,000 - $220,000 base
Skills & Requirements
Must-have
liquidity management
money market issuance
interest rate swaps
regulatory liquidity frameworks
balance sheet de-risking
Nice-to-have
institutional client interface
strategic oversight
sophisticated derivatives strategies
market acumen
Key Requirements
Liquidity management or money market issuance experience