Assist in the strategic design of the capital, funding and liquidity plan
Coordinate and collaborate with balance sheet and liquidity teams to provide analytics and input related to capital metrics and key liquidity ratios
Analysis of funding actions to plan and drivers of variances
Prepare presentations and transaction summaries related to funding and capital markets for Senior Management (CEO, CFO, Treasurer, and CIO) and Key Regulators (OCC, US Treasury, FDIC, and Federal Reserve Board of New York)
Develop analytical tools to measure performance
Provide subject matter expertise for issuance capacity in different types of stress scenarios
Qualifications:
5+ years of experience
Strong Working knowledge of fixed income products and valuation
Bachelor’s degree
Strong Power Point, Excel and communication skills
Ability to manage multiple projects independently and develop reports and presentations
Strong ability to work collaboratively across many different groups in different regions
Highly motivated and interested in learning about different products and overall Balance Sheet Management
High energy, self-starter with a desire to show creative ideas and continued progress
CFA or MBA a plus
Funding & Investments ManagementFull time615 S COLLEGE STREET$107,120.00 - $160,680.00