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.