Summary
Overview
Work History
Education
Skills
Certification
Timeline
Generic

Uchenna Bright Udo

Toronto

Summary

Strategic treasury and investment risk professional with over a decade of progressive experience in regulatory institutions, capital markets, and commercial banking. Proven expertise in liquidity risk management, cash flow forecasting, regulatory compliance, treasury reporting, and investment risk analytics. Skilled in implementing enterprise-wide treasury frameworks and optimizing liquidity buffers to meet Basel III and OSFI standards. Highly adept at financial modeling, stakeholder engagement, governance reporting, and automation. Recognized for leading cross-functional initiatives and delivering impactful enhancements to policy, risk infrastructure, and reporting frameworks.

Overview

12
12
years of professional experience
1
1
Certification

Work History

Specialist, Market and Liquidity Risk Division

Office of the Superintendent of Financial Institutions (OSFI)
03.2023 - Current
  • Lead regulatory oversight of liquidity risk management practices for systemically important financial institutions (SIFIs), ensuring Basel III and OSFI compliance.
  • Perform comprehensive liquidity risk assessments across institutions, subsidiaries, and foreign branches, identifying systemic and entity-specific vulnerabilities.
  • Conduct macroprudential and idiosyncratic stress testing to assess funding resilience under various adverse scenarios.
  • Review internal liquidity adequacy assessment processes (ILAAP), evaluating governance, assumptions, and scenario frameworks.
  • Analyze HQLA buffers, liquidity coverage ratios (LCR), and maturity mismatch profiles to monitor liquidity soundness.
  • Assess intragroup funding flows and contingent liquidity sources across banking groups and international structures.
  • Support OSFI policy initiatives and prepare risk insights for senior management, governance committees, and inter-agency briefings.
  • Enhance liquidity risk data integrity, automation, and reporting capabilities for supervisory and compliance evaluations.

Senior Liquidity Risk Analyst, Capital Markets Risk Management

TD Securities
06.2021 - 03.2023
  • Monitored daily liquidity risk exposures across trading and treasury portfolios, optimizing capital allocation and minimizing funding gaps.
  • Designed and implemented advanced cash flow forecasting tools to support collateral management and internal liquidity stress tests.
  • Manage liquidity contingency planning and scenario development to prepare for adverse funding conditions.
  • Led reconciliation of risk and finance data systems to improve data quality and compliance with regulatory and internal policies.
  • Produced LCR and NSFR reporting for executive committees and regulatory disclosures.
  • Partnered with technology teams to automate dashboards and enhance reporting workflows via Power BI and SQL.

Senior Supervisor, Risk Management

NIRSAL Plc (Central Bank of Nigeria affiliate)
01.2017 - 04.2021
  • Oversaw risk governance and liquidity strategy for government-backed investment portfolios focused on the agricultural sector.
  • Conducted portfolio-level stress tests and liquidity gap analyses to guide investment and rebalancing decisions.
  • Developed risk assessment models for fund utilization, asset allocation, and capital preservation strategies.
  • Served as primary liaison with external trustees, fund managers, and regulators, ensuring full compliance with investment mandates.
  • Drafted and implemented internal treasury risk policies, dashboards, and performance evaluation tools.
  • Presented risk performance reports to board committees and executive stakeholders on a quarterly basis.

Senior treasury analyst

Access Bank Plc
04.2013 - 12.2016
  • Monitored daily liquidity positions and maintained asset-liability alignment through real-time tracking of inflows/outflows, interbank placements, and central bank reserves.
  • Conducted structural interest rate risk analysis across fixed income and FX instruments, producing weekly reports on net interest margin sensitivity and duration gaps.
  • Conducted asset-liability gap analysis across multiple product lines including FX, bonds, and interbank lending.
  • Designed tools for internal compliance checks and automated monitoring of regulatory liquidity thresholds.
  • Participated in the bank’s internal capital adequacy assessments (ICAAP), contributing to balance sheet projections under various stress conditions.
  • Built automated tools using VBA and SQL to streamline risk reporting cycles, reducing manual effort by 30%.
  • Provided monthly ALCO packages with visual analytics on funding gaps, maturity mismatches, and pricing benchmarks to support Treasury decision-making.

Education

Bachelor of Science - Business Administration

University of Lagos
12.2011

Skills

  • Liquidity & Treasury Risk Management (NSFR, LCR, Basel III)
  • Treasury Operations & Investment Risk Governance
  • Cash Flow Forecasting & Capital Allocation
  • Treasury Reporting & Compliance Automation
  • Asset Liability Management (ALM) & Rebalancing
  • Scenario Modeling & Stress Testing
  • Financial Data Systems (BarraOne, Aladdin, Bloomberg PORT)
  • Advanced Analytics (Power BI, SQL, VBA, Tableau)

Certification

  • Chartered Professional Accountant (CPA, CGA) – CPA Ontario
  • CFA Level II Candidate
  • Financial Risk Manager (FRM) Candidate

Timeline

Specialist, Market and Liquidity Risk Division

Office of the Superintendent of Financial Institutions (OSFI)
03.2023 - Current

Senior Liquidity Risk Analyst, Capital Markets Risk Management

TD Securities
06.2021 - 03.2023

Senior Supervisor, Risk Management

NIRSAL Plc (Central Bank of Nigeria affiliate)
01.2017 - 04.2021

Senior treasury analyst

Access Bank Plc
04.2013 - 12.2016

Bachelor of Science - Business Administration

University of Lagos
Uchenna Bright Udo