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in the treasury spacewho is not only curious aboutfinancial markets but also skilled
in using Alteryx solutionsto enhance forecasting and analysis processes.
As an EMEA Treasury Data Analyst- Long Term Forecast in the Corporate & Investment Bank (CIB) Treasury teamyou will developand maintain balance sheet funding and liquidity financial forecasts for the EMEA region, analyzetrends, and provide insights to support strategic decision-making. As a key member of the EU Commercial & Investment Bank (CIB) TreasuryEU forecastingteam, you will support the broader long-term forecast process for the largest legal entities within the EMEA region.
You will work with stakeholders in Europe, the UK, and globally to deliver long-term forecasts of balance sheet and liquidity parameters required by local regulations. This role offers exposure to various CIB products and business stakeholders, providing a broad understanding of the CIB's activities in the EU region. You will join the CIB Treasury team, which manages capital and liquidity for CIB's businesses and sets funds transfer pricing policies. The team also develops methods to enhance collateral and liquidity risk management.
You will work closely with Corporate Treasury and Asset and Liability Risk Management (ALM) colleagues to develop consolidated liquidity risk metrics and analysis in support of internal and regulatory requirements. Within this broader context, the EU team works across the organization to monitor and assess the funding, liquidity and capital resource usage at the legal entity level within the region. In its role as an advisor and oversight function to the CIB, CIBT enjoys a unique viewpoint on some of the most strategic issues facing the CIB and is often in the center of projects shaping the future direction of the business.
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Preferred qualifications, capabilities, and skills:
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