Liquidity Risk Management Senior Analyst – Liquidity Governance, Transaction Testing Team

Job Description
The Global Liquidity Risk Management team is part of the Corporate Treasury organization. The primary focus is to understand, measure, analyze, monitor, report and influence liquidity utilization across the corporation, in order to ensure that Bank of America and its subsidiaries can meet all contractual and contingent financial obligations through typical market cycles as well as periods of stress. Our business partners include Global Funding, Enterprise Capital Management, Finance, Risk, and Lines of Business. The group works with business units to ascribe limits, guidelines and direction to the business in line with corporate objectives and in accordance with risk appetite statements. This group also performs daily liquidity regulatory reporting to a global set of regulators.

The Analyst will be a member of the Liquidity Transaction Review Program Team within the Global Liquidity Management Governance team. The Liquidity Transaction Review Program is designed to test the accuracy and fit for use of data impacting liquidity reporting. This testing program serves as a detective control in order to identify and reduce reporting errors caused by data received from upstreams and from data transformations throughout the data supply chain. The Liquidity Transaction Review Program Team is responsible for test planning, design and observation management. Test development and execution is performed by the Enterprise Independent Testing team.

The role will support test scoping, setup, and observation management and will work closely with partners across Global Liquidity Management, Treasury Data Management, Enterprise Independent Testing and Treasury Technology. This role will be responsible for:

Coordinating test scoping and setup activities (including product and data element prioritization)

Reviewing and providing feedback on test scripts developed by Enterprise Independent Testing

Analyzing test results, including root cause analysis, impact assessment and remediation path

Preparing reporting and analytics for senior management across Treasury, Enterprise Data Management, Line of Business Data Providers, Global Compliance and Operational Risk, and Audit

The Global Liquidity Management team is composed of approximately 100 employees located in Charlotte, New York, UK, EMEA and Asia.

Required Skills:

BS/BA (Finance/Accounting/Economics, Engineering and/or Computer Science preferred) – or equivalent work experience

Strong communication skills

Strong attention to detail

Advanced MS Excel and PowerPoint skills

At least 2 years of financial and/or data analytics experience with a financial institution

Desired Skills:

Problem solving/self-starter

Ability to demonstrate good judgment and teaming, cross platform projects with short deadlines

Prior data management experience

General comfort reading / reviewing SQL

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