Liquidity Reporting Controller, Vice President
Corporate Treasury & CIO (CTC) within Corporate Financial Management manages the Firm’s liquidity and capital, funds transfer pricing, interest rate/FX structural risk, securitization and share repurchases, and relationships with rating agencies and fixed income investors. CTC Liquidity Controller Americas oversees North America & Latin America liquidity results and controls, including regional liquidity reporting, forecasting, and analysis. The team supports strategic initiatives such as enhancements to the Liquidity Risk Infrastructure platform, governance participation, and liquidity-related messaging with Investor Relations and Corporate Reporting. The role develops strong balance sheet expertise across investment securities, reverse repos, and money market/funding products (deposits, long-term debt, other borrowings), with a focus on liability transactions that fund the Firm. You’ll partner with business managers, traders, project teams, and cross-LOB stakeholders.