Our client, a major financial services company, is looking for a Treasury Analyst for there NYC location. Primarily responsible for designing a Corporate ALCO process and then compiling a presentation of the relevant capital market, business results, balance sheet position, IR & Liquidity risk analysis for presentation to the Committee; as well as management routines that govern the Committee.
Major Duties and Responsibilities:
Work with Senior Management to define & form a ALCO. Establish Management Routines & processes for the ALCO. Design a format/layout for the presentations for ALCO. Build networks/partnerships with the business, finance, treasury & risk organizations to obtain analysis & materials to be included. Ensure smooth compilation of the materials & generate any materials that BSM group is responsible for. Establish ALCO meetings for each management segment (line of business)within the company.
Please apply directly to joseph.oboyle@roberthalffsg.com
Only those qualified will be contacted.
Requirements:
Bachelors degree in Finance, Accounting or other business field
Previous balance sheet management / asset liability experience (3 – 5 years)
Prior ALCO experience required
Good fixed income capital markets knowledge & an understanding of modeling & valuations
High level of interpersonal skills to work effectively with others
Very strong presentation skills & ability to build professional and effective presentation materials.
Joseph O'Boyle
Robert Half Int - Financial Services Group