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+ 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