מציאת משרת הייטק בחברות הטובות ביותר מעולם לא הייתה קלה יותר
Requirements: Requires a Bachelor’s degree or foreign equivalent in Finance, Economics or related field and 5 years of progressive, post-baccalaureate experience as a Treasury Risk Officer, Business Associate, Senior Business Analyst, Sales & Trading Analyst or related position involving liquidity risk analysis and interest rate risk management for a bank. 5 years of experience must include: Financial analysis to analyze cash flows, liquidity ratios and positions, and economic metrics; Market factor impact analysis on balance sheet and investment products including bonds, certificates of deposits (CDs), government papers and notes; Balance sheet components, capital, surplus liquidity and cashflow statements; Provide review and challenge for the effectiveness of liquidity risk management processes, including liquidity stress test processes and assumptions; Performing analytics, including balance sheet analysis and forecasting, to identify emerging risks and determine appropriate investment portfolio strategy; Risk governance, including controls and risk appetite framework, to ensure business strategy is aligned with risk appetite; Compliance with U.S. and local regulatory policy and guidelines relevant to banking and treasury activities; Developing dashboards for senior management to provide overview of liquidity and interest rate risk exposure, Dv01 risk positioning, limit and trigger utilization, and market conditions using Tableau and PowerPoint; Project Management, including leading, planning, coordinating with regional and global partners and executing deliverables within timelines; and Liquidity and interest rate risk oversight and management. Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID #25853539. EO Employer.
Wage Range: $143,299.92 to $143,299.92
Full timeMiami Florida United States
Anticipated Posting Close Date:
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