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In this role, you will:
Responsible for producing and submitting Bank of Canada Securities ReturnWork with various stakeholders including technology team and internal reporting team from Treasury to ensure any enhancement required for Bank of Canada Securities Return is implemented successfullySupport daily, monthly and quarterly operation of other regulatory reports, with the focus on the Bank of Canada Securities ReturnSupport the monthly release for liquidity risk reporting enhancementSupport the Director of Global Cash & Liquidity Management to review and enhance risk management practices, methodologies, and operational processes; provide effective business solutions to ensure accordance with the regulatory updates and rapidly changing technologyOther routine and ad hoc tasks as required. Do you have the skills that will enable you to succeed? We’d love to work with yo...