Position Details:
Client
Financial Service
Job Title
Senior Treasury Risk Analyst
Duration
12 Months (Possible Extension or Conversion)
Location
Plano, TX 75024 (Possible Contract to Hire)
Job Description:
The primary responsibility of this role is to provide critical thought-leadership using data and analytics on Interest Rate Risk (IRR), Liquidity Risk, Funds Transfer Pricing (FTP), Valuation, and Financial Forecasting utilizing measures such as Net Interest Income (NII), Earnings at Risk (EAR), Economic Value of Equity (EVE), and other Key Risk Indicators.
The candidate will help maintain and automate financial analytical reports and dashboards with deep understanding of data and databases.
What you'll be doing:
Develop complex financial Asset Liability Management (ALM) models in Empyrean/ Excel/SQL to be used as the primary source for SFC Asset/Liability Management program.
Develop, maintain, and grow automated processes leveraging Excel, VBA, Tableau, Power BI, python, Snowflake, .Net, C# etc.
Advise finance subsidiaries on treasury management activities, practices and procedures ensuring compliance with policies and guidelines and review and provide input on funding forecasts and associated funding programs
Provide analytical support for management forums including Asset/Liability Committee (ALCO) decisions by conducting robust and comprehensive market and financial analysis to support strategy, proposals, and market transactions.
Conduct balance sheet analysis, analyze economic impact and build ALM strategies.
What specific departments will they interact with:
Treasury, FP&A, Risk, Profitability
Analytical & Treasury experience
Strong proficiency with Excel modeling
Hands on experience with SQL
User of SmartView/Essbase