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World Bank Group

Washington D.C, Washington

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Sacramento County Employees’ Retirement System

Sacramento, California

Eames Consulting

Singapore, Singapore

State Street Corporation

Sydney, New South Wales, Australia

Deutsche Bank

London, United Kingdom

BNY Mellon

Manchester, United Kingdom

S&P Global

Singapore, Singapore

S&P Global

London, United Kingdom

Bank Of China (Hong Kong) Limited

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Alexander Ash Consulting

London, United Kingdom

Citi

Belfast, United Kingdom

Oxford Knight

London, United Kingdom

Citi

London, United Kingdom

HSBC

Melbourne, Victoria, Australia

Deloitte

Brisbane, Queensland, Australia

BNY Mellon

Manchester, United Kingdom

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Senior Vice President, Market and Liquidity Risk
Overview Description: The Treasury department is responsible for the management of BNY Mellon's ~$406 Billion balance sheet. It assumes a variety of risks in its activities to generate greater than $4 Billion in annual net interest income, largely through the monetization of the firm's deposit base with a $135 Billion investment portfolio of fixed income securities. Additionally, the Treasury drives the allocation of the Firm's financial resources across the company, balancing capital and liquidity needs and demands and works to create the appropriate financial incentives for the businesses using these scare resources. The Portfolio Risk function is the second line of defense responsible for the oversight of the


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