Liquidity Analyst recruitment

This role is critical to ensure accurate and timely reporting of liquidity risk to senior management and Board of Directors.

Essential Functions/Responsibilities: The successful candidate will leverage their understanding of financial services, analytical capabilities, executive communication and project management skills to:

Work cross-functionally / cross-businesses to ensure that robust liquidity metrics are defined, collected, analyzed and reported in a timely manner.

Work with other Treasury functional groups to build additional reports and metrics for external constituencies (regulators and rating agencies), as needed.

Perform benchmarking analyses to continuously evaluate quality of reporting against industry and regulatory requirements.

Support overall data management process behind metrics monitoring and reporting; this includes leading process improvement projects on data collection and consolidation, as well as maintenance of process documentation, and automation.

Build recurring and ad hoc liquidity reports and presentations for senior management at various organization levels.
 
Qualifications/Requirements Bachelor's Degree in Finance, Economics or related field and at least 4 years of experience in Finance or Risk.

Demonstrated financial services experience in one or more of the following areas, Treasury, Capital Markets, Risk, Finance and/or Liquidity Management.