Head of Global Liquidity Management, SVP Head of Global Liquidity Management, SVP …

State Street Corporation
in Boston, MA, United States
Permanent, Full time
Be the first to apply
State Street Corporation
in Boston, MA, United States
Permanent, Full time
Be the first to apply
State Street Corporation
Head of Global Liquidity Management, SVP
Role Summary:

State Street is looking for a highly talented and strong leader to become the new Head of Global Liquidity Management within Global Treasury. This individual will report directly to State Street's Corporate Treasurer, who in turn reports to the Corporate Chief Financial Officer. The individual in this role is responsible for end-to-end management of liquidity at State Street, including metrics, stress testing, intraday, monitoring/reporting, and optimization, and covering all entities, branches, and subsidiaries.

Role Responsibilities:

The Head of Global Liquidity Management, SVP, will be responsible for directly contributing or overseeing the following:
  • Strategy around and optimization of our liquidity position, including how much liquidity buffer is appropriate, as well as where liquidity should be deployed
  • Liquidity stress testing across all products, including development of stress scenarios, methodologies, achieving business unit buy-in, and working with internal governance bodies and technology teams to deploy models
  • Intraday liquidity management, including monitoring intraday liquidity risk
  • Work with quantitative groups to develop and update operational deposit models and other predictive/behavioral models for measuring, managing, and forecasting liquidity
  • Recovery and resolution planning responsibilities, including RLAP and RLEN
  • Data quality and accuracy across key liquidity reports, including LCR, NSFR, RLAP/RLEN, and internal liquidity stress testing
  • Daily production and reporting of key liquidity reports and metrics
  • International liquidity management across all aspects of liquidity for each entity, branch, and subsidiary
  • Management of regulatory relationships, internal constituents, and presenting at senior management and Board committees
    Required Experience:

    15+ years in Financial Services, with focus in Treasury and Liquidity preferred
    Experience with data/technology implementations
    Strong leader and manager with experience managing large, global teams
    Deep content expertise across liquidity concepts, including markets related businesses
    Prior interactions and demonstrated strength of credibility with regulators
    Ability to execute in a timely manner on critical deliverables
    Excellent collaboration skills, working with business partners, enterprise risk functions, and corporate audit
Company Overview

From technology and product innovation to corporate responsibility and community development, we're making our mark on the financial services industry. For more than two centuries, we've been helping our clients safeguard and steward the investments of millions of people - strengthening markets, building communities and creating opportunities for growth.

We owe that longevity to the commitment, expertise and creativity of our employees. Our continued success depends on our ability to attract and develop the best talent in the industry. That's why we're keenly focused on employee development, corporate citizenship and inclusion.

For us, success comes in the mark we make as an organization - for the industry, our clients, our communities and each other.