Int. Treasury Risk Analyst to be a vital link between the business and technology teams supporting a data migration project for a large banking client - 49312
Job Type: Contract
Positions to fill: 1
Start Date: Mar 31, 2023
Job End Date: Mar 29, 2024
Pay Rate: Hourly: Negotiable
Job ID: 128396
Location: Toronto
Job ID: 49312
# of positions: 1
Duration: 1 year from start
Extension possible: yes
Conversion Possible: yes
Schedule: MF 9-5PM
Location: Hybrid Schedule – 2 days a week onsite
Interview Process: 1 Rounds
Description
The Risk Analyst will be a vital link between the business and technology teams supporting a data migration project. This individual will work extensively with multiple functions, projects, and technology teams.
Key Responsibilities of this position include:
• Interact with multiple business teams (e.g. MRMA, Funds Transfer Pricing, Liquidity, Modeling, Data Management) to develop business expertise, perform comprehensive analysis, outline problems, opportunities, options, and design solutions.
• Conduct regression testing, investigate the root cause for the issues making sure the business results are explained and understood.
• Develop and foster a positive working relationship with partners and stakeholders
• Create an extraordinary place to work by developing and motivating other team members
MUST HAVE:
NICE TO HAVE:
Disqualifications
1) No treasury operations experience where candidate supports operations activities
# of positions: 1
Duration: 1 year from start
Extension possible: yes
Conversion Possible: yes
Schedule: MF 9-5PM
Location: Hybrid Schedule – 2 days a week onsite
Interview Process: 1 Rounds
Description
The Risk Analyst will be a vital link between the business and technology teams supporting a data migration project. This individual will work extensively with multiple functions, projects, and technology teams.
Key Responsibilities of this position include:
• Interact with multiple business teams (e.g. MRMA, Funds Transfer Pricing, Liquidity, Modeling, Data Management) to develop business expertise, perform comprehensive analysis, outline problems, opportunities, options, and design solutions.
• Conduct regression testing, investigate the root cause for the issues making sure the business results are explained and understood.
• Develop and foster a positive working relationship with partners and stakeholders
• Create an extraordinary place to work by developing and motivating other team members
MUST HAVE:
- 3+ Years Experience as a Treasury Risk Analyst
- SQL and advanced Excel
- Principles of asset/liability management, capital markets, and how Treasury delivers value
- Knowledge of balance sheet composition, general lending and deposit products, principles of interest rate risk management, including asset and liability management (e.g. duration, convexity, key rate immunization)
- Funds Transfer Pricing (FTP) concepts and their application to personal and commercial mortgage, loan and deposit products.
- Retail banking products
NICE TO HAVE:
- Ability to drive and take ownership - Experience managing cross functional teams to deliver key initiatives
- Tableau experience
- Business and Finance background – MBA, CFA asset
- Canoe, VISION, and Indigo and how they interconnect
Disqualifications
1) No treasury operations experience where candidate supports operations activities