- Wells Fargo (New York, NY)
- **About this role:** Wells Fargo is seeking a Senior Treasury Analyst to support liquidity risk reporting, automation efforts, and data enhancement ... accounting, or economics + 4+ years of experience in liquidity risk management, treasury , or regulatory reporting within a financial institution + Strong… more
- TD Bank (New York, NY)
- …The Intraday Liquidity and Collateral Monitoring Team as part of the US Treasury Liquidity Team is responsible for managing and monitoring of TD's US ... + Experience or knowledge of Liquidity Management, especially Intraday Liquidity Management, Collateral + Monitoring/Management or Treasury function within a… more
- SMBC (New York, NY)
- …candidate will be expected to support building strategies to manage the liquidity positions, collaborate with Markets Treasury , Operations, Technology, Risk, and ... of the group and operate in an exciting, fast-paced team environment. **Scope** The Liquidity Management function sits in the Corporate Treasury group of the New… more
- Citigroup (Getzville, NY)
- The Liquidity Risk Management Sr. Analyst is a senior analyst position within the Treasury Organization. The individual will support the production ... needs of the Liquidity Risk Management framework at Citi, which includes Position...Stress Testing, Planning and Forecasting, Collateral Management, and Intraday Liquidity Management. In addition, the role provides support in… more
- Citigroup (New York, NY)
- …a deep understanding of the Markets balance sheet and drivers of key Treasury metrics across liquidity , interest rate risk, transfer pricing, and capital, ... Citi Treasury 's mission is to be stewards of Citi's capital base and liquidity position by managing the firm's Balance Sheet and Financial Resources including… more
- JPMorgan Chase (Brooklyn, NY)
- Join our dynamic Commercial and Investment Banking Treasury (CIBT) Balance Sheet and Liquidity Analytics group as an Analyst and play a crucial role in ... This is an exciting opportunity to work closely with senior leadership and make a significant impact on our...balance sheet and liquidity management. As an analyst on Treasury Balance Sheet Controller in… more
- Citigroup (New York, NY)
- …is a senior analyst role in the USPB & Wealth Business Treasury Capital and Liquidity Resource Advisory (CLRA) team, with a primary responsibility of ... **Group Description:** Citi Treasury manages the balance sheet, capital, and liquidity of Citigroup; manages and provides corporate oversight of liquidity ,… more
- M&T Bank (Buffalo, NY)
- …other related duties as assigned. **Scope of Responsibilities:** The position serves as senior analyst in the use of statistical programming languages to analyze ... models used for credit risk, interest rate risk and liquidity risk management, as well as balance sheet and...including graphic and tabular forms, to fellow team members, Treasury management and Bank-wide stakeholders, including the business lines… more
- Citigroup (Getzville, NY)
- The CBNA and US Entities Management team manages the liquidity , capital, and balance sheet for US Bank Chain Entities, US and Consolidated Broker Dealer Entities, ... and Hold Co. Entities. They lead liquidity /capital optimization and serve as the principal point of...and serve as the principal point of contact into Treasury for funding needs and ensuring that balance sheet… more
- Athene (New York, NY)
- …capital resource management within a financial institution. Accountabilities: + Work across Treasury capital and liquidity functions to align and integrate ... at our various locations. Purpose: The AVP, Capital and Liquidity Management will be a key leader in Athene's... Management will be a key leader in Athene's treasury department and play an important role in capital… more
- Citigroup (Getzville, NY)
- **The Liquidity Risk Management Sr. Lead Analyst is a senior level individual contributor position within the Treasury Organization. The individual is ... for supporting the team in the execution of the Liquidity Risk Management framework at Citi, which includes Position...to negotiate internally and sometimes externally often at a senior level** **Strong analytical skills to filter, prioritize and… more
- Citigroup (New York, NY)
- The Balance Sheet Mgmt Ld Analyst is a strategic professional who stays abreast of developments within own field and contributes to directional strategy by ... the balance sheet. This includes + Participates in managing liquidity and interest rate risk, the capital/legal entity structure...ie ability to make complex subjects easily digestible for senior management + Exercises proven Power Point and Excel… more
- Mizuho Corporate Bank (New York, NY)
- … treasury operation business within the First Line of Defense. + Manage liquidity cash in Treasury through money transactions, FX swaps, interoffice deals, ... system or external systems. + Produce daily reports on liquidity positions, treasury transactions, and P&L, as...Income, and internal transactions. + Act as a business analyst with business users including treasury back… more
- Citigroup (New York, NY)
- …as a Quantitative Analyst , Risk Manager, Economist, Market Risk Senior Analyst , Model/Analysis/Validation Intermediate Analyst , Quantitative Risk ... Citibank, NA seeks a Treasury Risk Officer for its New York, New...York location. Duties: Design and conduct independent assessment of liquidity risks metrics inflows and outflows in business in… more
- Mizuho Corporate Bank (New York, NY)
- …prime brokers and counterparties to ensure timely domestic and international settlements of treasury trades. . Acting as a business analyst with business users ... Market Treasury /Money Markets & Funding - Director Key Responsibilities...repo activity as well as issuing CD/CP. . Managing liquidity cash or collateral through money transactions, FX swaps,… more
- Citigroup (New York, NY)
- …materials to concisely communicate insights and balance sheet strategic recommendations to Citi's senior management and Business / Treasury teams + Ensure that ... production of the forecasts and review & challenge with senior management. In addition to forecasting, Balance Sheet FP&A...owning different pieces of the Reinvestment and Funding and Liquidity activities (CTI, CBNA and Intl Treasury ,… more
- Citigroup (Getzville, NY)
- **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these objectives ... through managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via borrows &… more
- Citigroup (Getzville, NY)
- **Department Description** The Non-Trading Market Risk (NTMR) Operations within Treasury Chief Administrative Office (CAO) is responsible for reporting, analytics ... a robust governance process + Work closely with multiple groups within Treasury , Finance Chief Data Office, FP&A, and Technology to drive improvements in… more
- TD Bank (New York, NY)
- …for this role. **Line of Business:** Risk Management **Job Description:** **The** ** Senior Risk Analyst Governance and Control** **manages the development and ... monitors the enterprise risk governance frameworks. The Senior Risk Analyst Governance and Control also plays a key role in development and support of a policy… more
- Citigroup (New York, NY)
- The Balance Sheet Management Lead works within a team responsible for Treasury -related analysis, execution of strategy, and other ad- hoc initiatives within the ... Markets businesses. The candidate must understand the Treasury function, Markets-related products, balance sheet management and forecasting. The role requires the… more