Senior Treasury Risk Analyst
Job DescriptionJob Description
Job Title: Senior Treasury Risk Analyst (ALM)
Contract Duration: 12 Months, with potential extension or opportunity for full-time conversion
Location: Plano, TX (Hybrid - 3 days onsite per week)
Experience Level: 3-5 years
About the Role
Our client seeks a Senior Treasury Risk Analyst to drive essential analysis and management of Asset Liability Management (ALM), Interest Rate Risk (IRR), Liquidity Risk, Funds Transfer Pricing (FTP), Valuation, and Financial Forecasting. This role is key to supporting strategic decision-making in treasury management and risk assessment, ensuring compliance with best practices and guidelines.
Key Responsibilities
In this position, you'll be integral to the client's treasury and risk management operations, making a direct impact by developing strategic insights and supporting critical financial decisions. This is an excellent opportunity to deepen your expertise in Asset Liability Management and Treasury Analytics within a highly collaborative environment.
Apply today to join a high-impact team where your skills will help shape the client's treasury and financial risk strategy!
Job Title: Senior Treasury Risk Analyst (ALM)
Contract Duration: 12 Months, with potential extension or opportunity for full-time conversion
Location: Plano, TX (Hybrid - 3 days onsite per week)
Experience Level: 3-5 years
About the Role
Our client seeks a Senior Treasury Risk Analyst to drive essential analysis and management of Asset Liability Management (ALM), Interest Rate Risk (IRR), Liquidity Risk, Funds Transfer Pricing (FTP), Valuation, and Financial Forecasting. This role is key to supporting strategic decision-making in treasury management and risk assessment, ensuring compliance with best practices and guidelines.
Key Responsibilities
- Develop and manage financial ALM models using Excel and SQL to support the client's ALM program.
- Maintain, automate, and refine financial reports and dashboards, incorporating financial modeling and data analytics.
- Advise finance subsidiaries on treasury management practices and ensure adherence to policies.
- Conduct balance sheet analysis and build ALM strategies that consider economic impacts.
- Provide analytical support for management forums, including preparation for the Asset/Liability Committee (ALCO), supporting decisions with robust financial analysis.
- 3-5 years in a treasury, financial, or risk analysis role, with a focus on ALM.
- Advanced Excel skills, including complex formulas and VBA macros.
- SQL proficiency for database management and data analysis.
- Strong knowledge of financial instruments, particularly fixed income.
- Demonstrated financial reporting and forecasting skills, especially in cash flow forecasting.
- Strong analytical and data interpretation skills, particularly around Interest Rate Risk (IRR) and Liquidity Risk.
- Hands-on experience with ALM tools such as Empyrean, Bancware, or QRM.
- Familiarity with SmartView/Essbase for data visualization and reporting.
- First Round: 45-minute video interview via MS Teams.
- Potential Second Round: In-person interview with the National Manager and team.
In this position, you'll be integral to the client's treasury and risk management operations, making a direct impact by developing strategic insights and supporting critical financial decisions. This is an excellent opportunity to deepen your expertise in Asset Liability Management and Treasury Analytics within a highly collaborative environment.
Apply today to join a high-impact team where your skills will help shape the client's treasury and financial risk strategy!
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