Senior Finance Analyst - Global Liquidity Management
Company: Bank of America
Location: Charlotte
Posted on: April 4, 2026
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Job Description:
Job Description: At Bank of America, we are guided by a common
purpose to help make financial lives better through the power of
every connection. We do this by driving Responsible Growth and
delivering for our clients, teammates, communities and shareholders
every day. Being a Great Place to Work is core to how we drive
Responsible Growth. This includes our commitment to being an
inclusive workplace, attracting and developing exceptional talent,
supporting our teammates’ physical, emotional, and financial
wellness, recognizing and rewarding performance, and how we make an
impact in the communities we serve. Bank of America is committed to
an in-office culture with specific requirements for office-based
attendance and which allows for an appropriate level of flexibility
for our teammates and businesses based on role-specific
considerations. At Bank of America, you can build a successful
career with opportunities to learn, grow, and make an impact. Join
us! Job Description: This job is responsible for influencing and
driving optimal bank-wide liquidity strategies by Lines of Business
(LOBs) and legal entity in business as usual (BAU) and stress
scenarios. Key responsibilities include overseeing and influencing
liquidity utilization across the organization and providing input
into process and control designs, operational risk mitigation,
issue management, automation, and other initiatives across the
bank. This role will be a member of the Liquidity Forecasting and
Analysis Team, primarily focused on Top-of-House liquidity metrics
and analysis. Responsibilities: Measures, analyzes, monitors, and
reports on the bank's spot and forecasted liquidity position,
provides guidance to business units to improve liquidity position,
and supports regulatory and management liquidity reporting Oversees
processes, risks, and controls and tracks and monitors issues to
ensure adherence with policies, risk standards, and compliance with
internal and regulatory liquidity reporting requirements Partners
with other Lines of Business (LOBs) to determine limits,
guidelines, and direction, ensuring alignment with overall business
objectives and the bank's risk framework Monitors liquidity risk
trends relating to business activities and correlations between
business drivers and liquidity usage and builds out enhanced
liquidity reporting Reviews liquidity regulations and ensures
documentation required for compliance is up to date with regulatory
requirements Streamlines reporting processes and builds out
analytic capabilities using emerging technology (e.g., Alteryx,
Tableau, etc.) Provides input into monthly and quarterly reporting,
disclosures, and presentations for Risk Committees, Board of
Directors, and enterprise and local regulators Engage with Global
Funding, Line of Business, Balance Sheet Management, Risk and other
stakeholders to understand and forecast BAC and BANA liquidity
metrics, track risks and opportunities and provide forecast
analytics Work closely with Global Funding to understand how our
forecast drives day to day funding needs across the bank and non
bank entities Support other ad hoc projects within Global Liquidity
Forecasting Skills: Analytical Thinking Financial Forecasting and
Modeling Liquidity Management Regulatory Compliance Reporting
Attention to Detail Benchmarking Data and Trend Analysis Financial
Analysis Scenario Planning and Analysis Business Acumen Financial
Management Monitoring, Surveillance, and Testing Policies,
Procedures, and Guidelines Risk Management Required Qualifications:
Minimum of 3-5 years industry experience working within a Treasury
organization and/or with relevant financial products Experience
working with large data sets and data analytics experience
Energetic and self-motivated. Candidate should have a strong
intellectual curiosity High attention to detail Financial analysis
experience Desired Qualifications: Experience in liquidity,
capital, or balance sheet analysis Understanding of Bank
regulations, including Basel, FDIC, FRB and OCC liquidity
requirements Business partnering experience across variety of
groups Experience with automation tools Shift: 1st shift (United
States of America) Hours Per Week: 40
Keywords: Bank of America, Greensboro , Senior Finance Analyst - Global Liquidity Management, Accounting, Auditing , Charlotte, North Carolina