Manager, Corporate Funding
Listed on 2026-06-14
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Consultant, Banking & Finance
We are seeking a Manager, Global Corporate Funding to play a more strategic and numbers‑focused leadership role at the intersection of Treasury, Capital Markets, and the broader bank. This position is ideal for a seasoned professional with strong analytical capabilities, proven forecasting experience, and the confidence to operate actively in senior forums and cross‑functional discussions. You will lead funding analysis and forecasting activities, partnering across multiple lines of business to deliver accurate, data‑driven insights on liquidity, maturities, and funding strategies.
With a heightened emphasis on precision, attention to detail, and clear communication, you will oversee reporting and contribute to high‑impact monthly and quarterly deliverables, while shaping funding updates and ad hoc analysis. This role requires someone who is comfortable navigating complexity, translating data into actionable insights, and engaging stakeholders across Treasury, lines of business and capital markets. Familiarity with fixed income markets is an asset.
What sets this opportunity apart is its forward‑looking mandate, leveraging tools such as AI, SQL, and Python to enhance forecasting accuracy, automate processes, and elevate the function from operational execution to strategic influence. If you’re looking to broaden your enterprise perspective, deepen your impact, and lead with both rigor and innovation, this is a compelling next step.
- Supports the strategic and tactical management of the Bank’s global term funding, securitization, and capital issuance programs.
- Minimizes Bank funding costs while broadening the debit investor base to ensure the Bank is well‑funded to support the growth objectives and competitive positioning.
- Identifies and recommends actions to senior leaders based on market trends or regulatory developments to ensure the Bank is at the forefront of an optimal global funding platform.
- Acts as a trusted advisor to assigned business/group.
- Influences and negotiates to achieve business objectives.
- Recommends and implements solutions based on analysis of issues and implications for the business.
- Assists in the development of strategic plans.
- Builds change management plans of varying scope and type; leads or participates in a variety of change management activities including readiness assessments, planning, stakeholder management, execution, evaluation and sustainment of initiatives.
- Leads or participants in defining the communication plan designed to positively influence or change behaviour; develops tailored messaging; and identifies appropriate distribution channels.
- Provides leadership and advocates for corporate funding initiatives / programs, securitization and capital issuance programs from approval through execution.
- Partners with senior leaders to support the development and management and execution of the Bank’s securitization and capital markets global funding programs and issuance.
- Supports development of the securitization & funding strategy over a multi‑year plan horizon to optimize the funding strategy while maintaining compliance with legal / regulatory requirements.
- Develops and recommends strategies to expand the Bank’s investor base and global market access.
- Recommends and executes debt marketing activities in support of initiatives and oversees development of marketing materials including directly engaging with prospective and current investors to expand the Bank’s global funding capabilities.
- Partners with Capital Management Group to structure and execute capital productivity transactions (i.e. risk transfer transactions).
- Recommends optimal transaction pricing, term, and size for funding programs / solutions including capital, senior note and structured product issuance e.g. credit card, HELOC, mortgage, Covered Bond, Canada Mortgage Bond, and mortgage backed securitizations.
- Advises various stakeholders on the risks, financial implications and technical aspects to ensure alignment and agreement to plans/programs.
- Monitors the market environment and mismatch and basis market risk metrics to ensure the Bank’s structural market risk management activities add…
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