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Join as an analyst to support the Corporate & Investment Banking Treasury (CIBT) Liquidity Controller team today!

As an Analyst on the Treasury Liquidity Balance Sheet Analytics unit within CIBT Liquidity Controller team, you will be responsible for paying close attention to detail, feel comfortable operating in a fast-paced and dynamic environment and have a keen interest in capital markets and economics. Strong interpersonal, organizational, and communications skills are essential.

Job responsibilities

  • Review daily liquidity reports. Determine business drivers of any change in liquidity outflows
  • Develop data variance analysis and liaise with Line of Business (LOB) counterparts for variance explanations
  • Work independently and collaboratively and establish close partnerships with key CIBT stakeholders.
  • Participate in the ongoing process improvements, optimization and rationalization efforts related to Liquidity
  • Assist in ad-hoc projects as needed by senior management or regulatory initiatives

Required qualifications, capabilities, and skills

  • 1-2 years experience in a Treasury or Controller function
  • BA/BS in Finance or related field
  • Strong knowledge of financial theory and accounting principles
  • Working knowledge of Investment Banking products
  • Excellent attention to detail

Preferred qualifications, capabilities, and skills

  • Experience with business intelligence tools (e.g. Tableau, Alteryx) and advanced knowledge of Microsoft Office

Note This position is not eligible for sponsorship