Scotiabank is seeking a Manager, Liquidity Forecasting & Analytics for a key role within Group Liquidity & Funding Management in Group Treasury. This position contributes directly to the success of Forecasting and Balance Sheet Insights, delivering critical analysis to support strategic liquidity management recommendations.
What You'll Do
- Produce high quality forecasts of the Bank’s liquidity position.
- Provide critical analysis and insights to support strategic liquidity management recommendations.
- Leverage liquidity forecasts and analysis around liquidity buffer sizing and funding needs.
- Ensure specific individual goals, plans, and initiatives are delivered in support of the team’s business strategies and objectives.
Team & Environment
You will be part of Group Liquidity & Funding Management within Group Treasury.
Scotiabank is an equal opportunity employer.





