Sr. Treasury Analyst (Capital)
Senior Treasury Analyst (Capital)
**This role requires relocation to Phoenix, Arizona, and Stress Testing Expertise within the Banking Industry.**
Our firm is partnering with a long-term client of the firm on a key Senior Treasury Analyst within their Capital Group. Within this organization, the Capital Management team is part of the Balance Sheet Management function within the Bank's Corporate Treasury and the team is preparing for continued growth and are looking for a strong Senior Treasury Analyst to help guide the bank in its journey towards becoming a $100B+ Large Financial Institution (LFI) bank.
What's cool about this search is our firm knows the Director of Capital well and we are partnering directly with them to get this crucial role filled in a timely fashion. Ideally, having experience at an existing LFI ($100B or above) would be ideal, however, if you have experience at a $50B+ entity on the Capital side of the house, we will still want to talk to you.
In this role you will consolidate the forecast inputs as well as provide effective challenge and controls to help ensure accuracy of the data. You will have a hand in supporting and overall development of the annual capital plan, stress testing, and monitoring of capital targets and limits. You will also contribute to the development and continuous improvement of forecasting tools for regulatory capital, on and off-balance sheet risk-weighted assets stress testing applications. You will develop regular detailed analysis to inform management of the key drivers of capital trends. You will also perform detailed variance analysis and back testing to enhance the ongoing forecasting performance.
The capital team is very collaborative, and they treat everyone as a valued member. In addition to having smart humble colleagues, you will partner closely with other teams in Corporate Treasury such as Liquidity Management, ALM, the Investments teams as well as Internal Audit, Model Risk, and Risk Management. You will also work directly with FP&A to incorporate the latest forecasts into the bank's capital projections.
To be considered, the ideal candidate should have Treasury or finance/banking experience, at a $50B to $100B+ organization that is used to partnering with all of the lines of defense within a bank and is used to the ongoing regulatory scrutiny and the rigors involved in that. Bachelor's degree in finance, Accounting, Mathematics, or Economics is strongly preferred.
**This role requires relocation to Phoenix, Arizona, and Stress Testing Expertise within the Banking Industry.**
Our firm is partnering with a long-term client of the firm on a key Senior Treasury Analyst within their Capital Group. Within this organization, the Capital Management team is part of the Balance Sheet Management function within the Bank's Corporate Treasury and the team is preparing for continued growth and are looking for a strong Senior Treasury Analyst to help guide the bank in its journey towards becoming a $100B+ Large Financial Institution (LFI) bank.
What's cool about this search is our firm knows the Director of Capital well and we are partnering directly with them to get this crucial role filled in a timely fashion. Ideally, having experience at an existing LFI ($100B or above) would be ideal, however, if you have experience at a $50B+ entity on the Capital side of the house, we will still want to talk to you.
In this role you will consolidate the forecast inputs as well as provide effective challenge and controls to help ensure accuracy of the data. You will have a hand in supporting and overall development of the annual capital plan, stress testing, and monitoring of capital targets and limits. You will also contribute to the development and continuous improvement of forecasting tools for regulatory capital, on and off-balance sheet risk-weighted assets stress testing applications. You will develop regular detailed analysis to inform management of the key drivers of capital trends. You will also perform detailed variance analysis and back testing to enhance the ongoing forecasting performance.
The capital team is very collaborative, and they treat everyone as a valued member. In addition to having smart humble colleagues, you will partner closely with other teams in Corporate Treasury such as Liquidity Management, ALM, the Investments teams as well as Internal Audit, Model Risk, and Risk Management. You will also work directly with FP&A to incorporate the latest forecasts into the bank's capital projections.
To be considered, the ideal candidate should have Treasury or finance/banking experience, at a $50B to $100B+ organization that is used to partnering with all of the lines of defense within a bank and is used to the ongoing regulatory scrutiny and the rigors involved in that. Bachelor's degree in finance, Accounting, Mathematics, or Economics is strongly preferred.
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