Liquidity Data Governance - Manager
State Street CorporationMatch Score
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Protocol Intelligence
Data-driven signals on your job's competitivenessTier-1 bank, metro location, and a mid-level generalist treasury/finance manager role increase candidate competition.
Specialized treasury, intraday liquidity, and collateral skills are highly industry-specific and not easily transferable.
Explicit 5+ years plus domain-specific treasury/liquidity and regulatory experience raises screening rigor.
Job Description
Structured overview of role & requirementsAbout This Role
Analyze firm’s intraday liquidity usage, collateral positions, and settlement activity to support risk monitoring and business decisions.
Prepare, enhance, and deliver accurate reporting and analytics on intraday liquidity and collateral usage to stakeholders.
Partner with Technology, Risk, and Treasury teams to source data, implement reporting enhancements, develop new analytics, and maintain governance for collateral and liquidity reporting.
Minimum Requirements
Minimum 5+ years of experience in financial services, preferably Treasury Liquidity Management, Liquidity Reporting, Regulatory Reporting, or Risk Management.
Degree in Finance, Accounting, Economics, or related field or equivalent professional qualification (CA/CPA).
Strong knowledge or experience in liquidity risk management, intraday liquidity, collateral management preferred.
Work Experience Required: 5+ years relevant experience; Notice Period: Not explicitly mentioned in the JD.
Ideal Candidate Profile
Experienced in working with large financial datasets and performing quantitative financial analysis related to liquidity and collateral.
Able to effectively collaborate with cross-functional teams (Treasury, Risk, Finance, Technology) to deliver accurate, high-quality outputs under tight deadlines.
Demonstrates ownership of complex reporting and analytical processes with strong attention to detail and process improvement orientation.
