Bank of America

Global Corporate Treasury Summer Analyst Program

3+ months agoLondon, United Kingdom

What you'll do

Wonder how we manage internal and regulatory liquidity requirements on a global scale?

Our Corporate Treasury Summer Analyst Program offers you the opportunity to work with the business and senior treasury management to understand and develop liquidity stress testing.

As a summer analyst, you will be supported with training as you build a strong platform in which to launch your career. Your role during the program will provide you with the opportunity to gainexposure to experienced leaders and participate in daily reviews of business cash movements, key liquidity risk drivers, stress testing results, transactions pipeline, and business forecasts in order to manage internal and regulatory liquidity requirements.

Corporate Treasury is a central function with enterprise-wide impact. The goal of Corporate Treasury is to optimize shareholder value by providing world-class management of liquidity, funding and interest rate risk. It is also responsible for creating a state-of-the-art framework for managing the trade-offs between risk and return, and for training and exporting enterprise leaders.

As a summer analyst you, your responsibilities may include:

  • Working with the business and senior treasury management to understand and develop liquidity stress testing
  • Supporting ad hoc projects to meet evolving internal and regulatory requirements
  • Providing input into monthly presentations for board of directors, risk committees, enterprise and local regulators
  • Participating in daily reviews of business cash movements

Job ID: BankOfAmerica-814364033