Lms Deposit Strategy & Analytics - Nam And Latam Balance Sheet Lead - Director

Publix Serving (Civica)

New York, New York, United States
Base: $170,000.00 - $300,000.00; bonus/equity: not...
On-site
Balance sheet optimization strategy
Deposit growth initiatives
Financial visibility enhancement
This pivotal role is a significant partner providing insight and support to the LMS (Liquidity Management Services) Cluster Heads within the Services business and is responsible for driving the strategic alignment and execution of balance sheet management initiatives within these two clusters and achieving cluster goals and target growth

Job Summary

  • This pivotal role is a significant partner providing insight and support to the LMS (Liquidity Management Services) Cluster Heads within the Services business and is responsible for driving the strategic alignment and execution of balance sheet management initiatives within these two clusters and achieving cluster goals and target growth.
  • The successful candidate will play a critical role in optimizing balance sheet performance, enhancing financial visibility, and supporting key regulatory and planning processes across the clusters.
  • This position requires a proactive approach to collaboration with diverse internal stakeholders, senior stakeholders management, strong analytical acumen, and the ability to propose and/or resolve issues to unleash optimal growth opportunities.

Matching Summary

This pivotal role is a significant partner providing insight and support to the LMS (Liquidity Management Services) Cluster Heads within the Services business and is responsible for driving the strategic alignment and execution of balance sheet management initiatives within these two clusters and achieving cluster goals and target growth.

Salary

Base: $170,000.00 - $300,000.00; Bonus/Equity: Not specified; Benefits: Not specified

Skills & Requirements

Must-have

  • Balance sheet optimization strategy
  • Deposit growth initiatives
  • Financial visibility enhancement
  • CCAR, Plan, and QMMF alignment
  • Monthly cluster/client analytics
  • GSIB regular monitoring and management
  • NIM/RLAP/ROTCE optimization

Nice-to-have

  • Proactive collaboration
  • Senior stakeholder management
  • Unleash optimal growth opportunities
  • Challenging proposals when required

Key Requirements

  • 15+ years of experience
  • Experience in Product Management and/or Treasury beneficial
  • Previous experience in cash and liquidity management products
  • Bachelor’s/University degree, Master’s degree preferred

Work Rights

Not specified

Tailored Resume

Cover Letter