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Department Overview
The Treasury and Balance Sheet Management (TBSM) department of TD Bank is responsible for overseeing the management of TD Bank's Canadian and US P&C: non-trading market risk, consolidated liquidity risk and consolidated capital position.
Culture: TBSM prides itself on fostering a culture which focuses on development, open mindedness, sharing team successes, partnerships & value add initiatives. Emphasis is especially placed on developing our people by fostering a teaching culture & valuing diversity.
The Investments Strategy and Analytics (S&A) team is accountable for delivering on the Front Office and Investments (FOI) initiatives, including the addition of new asset classes to the portfolio as well as new capabilities. The Investments S&A team develops and maintains investment portfolio reporting and analytics to measure and highlight the enterprise investment portfolio performance, financial impacts and trends.
The Investments S&A team collaborates with the Front Office team in developing the Investment portfolio plan and delivery of that plan. The team partners with stakeholders across the organization including various teams within TBSM including Asset Liability Management, Funding, Liquidity, Hedge Accounting, as well as teams in Finance and Risk to manage the Enterprise Investment Portfolio (EIP) - including US, CAD, TDBEL and TDS portfolios
Job Requirements
Specific Educational Requirements:
- Post-secondary degree
- MBA, CFA considered assets
Expertise in:
- Principles of asset/liability management, capital markets, and how Treasury delivers value
- Bank Investment Portfolios and related products held in the portfolios
- TBSM processes and how they interconnect
- Bank income statements and financial reporting
- Accounting for investment products including hedge accounting
- Owning and delivering large scale projects
- Managing multiple complex projects concurrently
- Excellent interpersonal and communication skills
- Ability to simplify and present complex concepts and business results in terms understandable by audiences with varied backgrounds including senior bank executives and risk partners
- Able to develop and foster a positive working relationship with partners and project stakeholders
- Quick to learn and apply new concepts
- Demonstrated strong analytical abilities
- Ability to collaborate and teach skills and concepts to colleagues
- Approach responsibilities with diligence and initiative, taking ownership of issues to ensure successful outcomes
- Strong organizational skills with an ability to prioritize and manage competing initiatives
- Challenge the status quo and exhibit a forward-looking mindset to identify enhancement opportunities that are efficient and scalable
37.5
Job Description
The Sr Manager is accountable for advancing the teams capabilities towards our target operating model by leading and delivering on both the S&A team's as well as the FOI team's initiatives and projects. The Sr Manager will work across multiple stakeholders across Treasury, Finance, Risk, Technology and external vendors to enhance the capabilities and improve the performance of the Bank's Enterprise Investment Portfolio.
The Sr manager is also accountable for helping to drive the strategic direction of the EIP through participation in ad hoc analysis and requests from senior executives and providing oversight and review of the EIP Plan.
Primary responsibilities of the Senior Manager, Investment Strategy & Analytics include:
Strategic Initiatives
- Analyze, identify and execute on key Enterprise Investments Portfolio (EIP) initiatives including ownership of the Front Office and Investments Target Operating Model.
- Act as the business owner of key initiatives / technology changes impacting the Front Office. Ensuring initiatives / projects are delivered meeting business requirements, on time and within budget
- Leading new investment product launches and operational readiness across the organization, both within and outside of Treasury
- Maintain, develop and enhance reporting and analytics to explain the performance of the EIP, key drivers of performance and impacts to income, capital and balance sheet management.
- Lead the forecasting and planning mandate for the EIP, working with Front Office to determine investment plan, strategic initiatives for the year and associated Net Interest Income and Capital impacts. Effective challenge and identify the risk and opportunities for the EIP Plan.
- Provide ad hoc analysis, including strategy reviews, deep dive, competitive analysis and recommendations, in an effort to support portfolio management and broader balance management needs
- Maintain robust, scalable, and well-documented processes
- Assist in the development of a high quality and well-respected team of investment specialists within TBSM
Inclusiveness
At TD, we are committed to fostering an inclusive, accessible environment, where all employees and customers feel valued, respected and supported. We are dedicated to building a workforce that reflects the diversity of our customers and communities in which we live and serve. If you require an accommodation for the recruitment/interview process (including alternate formats of materials, or accessible meeting rooms or other accommodation), please let us know and we will work with you to meet your needs.
Business Line
Corporate
Job Category - Primary
Finance / Accounting
Job Category(s)
Finance / Accounting
Job Family
Treasury & Balance Sheet Mgmt
Time Type
Full Time
Employment Type
Regular