- TD Bank (New York, NY)
- …more specific details for this role. **Line of Business:** Finance **Job Description:** The Senior Treasury Liquidity Analyst maintains, enhances, and ... providing leadership, direction, and necessary quality assurance checks regarding liquidity reporting and all relevant investor and/or regulatory requests. This… more
- Citigroup (New York, NY)
- …the team has a geographical footprint in NY, London, Hong Kong and Malaysia. Wealth Business Treasury Ld Analyst - C13 sits in the NY office and supports the US ... CTI /LFOs on execution. This requires strong communication and senior stakeholder management skills. The C13 resource also needs...management skills. The C13 resource also needs to advocate Treasury perspective on IRR and liquidity management… more
- Citigroup (New York, NY)
- …is a senior analyst role in the USPB & Wealth Business Treasury Capital and Liquidity Resource Advisory (CLRA) team, with a primary responsibility of ... **Group Description** Citi Treasury manages the balance sheet, capital, and liquidity of Citigroup; manages and provides corporate oversight of liquidity ,… more
- NBC Universal (New York, NY)
- …content that reflects the current and ever-changing face of the world. The Sr. Treasury Analyst will join a team focused on providing cash management, ... of businesses including Media, Studios, News, and Destination and Experiences. The Treasury department is a dynamic and fast paced organization. As such, the… more
- Citigroup (New York, NY)
- This role will be a key member of the markets business Treasury responsible for a variety of analytics / monitoring across a variety of Markets products including ... metrics both for business as usual, as well as Liquidity / markets related indicator or potentially limits. The...to key members of both the Markets Business and Treasury . Lastly, the role will be expected to support… more
- Citigroup (New York, NY)
- …communication skills required in order to negotiate internally, often at a senior level. Developed communication and diplomacy skills are required in order to ... risk metrics and work closely with the Asset/Liability Management team within Citi Treasury and Citi Market Risk Management to understand the drivers of interest… more
- Prime Therapeutics (Trenton, NJ)
- …Title** Treasury Reporting Principal - Remote **Job Description** The Treasury Analyst Principal is responsible for managing, analyzing, and delivering ... Treasury reporting, including complex liquidity reporting and...payment process reporting for a variety of stakeholders, including Senior Leadership. This role is responsible for providing leadership… more
- Citigroup (New York, NY)
- …senior stakeholder management skills. The C12 resource also needs to advocate Treasury perspective on IRR and liquidity management goals and importantly align ... The Balance Sheet Mgmt Sr. Analyst is a seasoned professional role. Applies in-depth...affected by the performance of the individual. Wealth Business Treasury is a global team that partners with Wealth… more
- Citigroup (New York, NY)
- The Balance Sheet Management Lead Analyst is a strategic professional who stays abreast of developments within Capital Markets and contributes to directional ... + Partner with Equities and Fixed Income businesses and Treasury management to conduct business activities that make most...conduct business activities that make most efficient use of liquidity and capital resources + Assist in the buildout… more
- Citigroup (New York, NY)
- Citibank, NA seeks a Balance Sheet Management Lead Analyst for its New York, NY location. Duties: Monitor and assist with management of key liquidity metrics for ... Citibank, and Citibank's US presence, including regulatory and internal liquidity stress metrics, concentration metrics and balance sheet ratios. Collaborate as… more
- Citigroup (New York, NY)
- …and qualitative skillsets that would enable the individual to become an experienced Treasury professional. + Visibility and exposure to senior management and ... in Interest Rate Risk (IRR) team within Citi's Corporate Treasury . The IRR team is responsible for measuring, analyzing...Optionality Risk in the Banking Book. **Individual:** The IRR Analyst has a strong understanding of how IRRBB management… more
- Citigroup (New York, NY)
- …Citi Treasury Investments (CTI): CTI is responsible for managing Citi Treasury 's central liquidity and investment portfolios, executing the foreign exchange ... transactions 4. Monitoring reports of the AFS activity to Senior Management and regulators; 5. Help develop and maintain...and triggers; 6. Coordinate with cluster and country Markets Treasury , Corporate Treasury , Controllers and Risk teams… more
- Citigroup (New York, NY)
- …operates within Corporate Treasury to lead the investment of Citi's major liquidity portfolios and raise long and short-term debt and capital as well as the ... Capital Markets (CTI CM) group is responsible for raising liquidity and capital on behalf of Citigroup, CBNA and...Housing financings. Additionally, CTI CM provides regular updates to Senior Management, Regulators as well as Fixed Income Investor… more
- Citigroup (New York, NY)
- …committees. **Qualifications:** + 5 to 7 + years experience in Financial Services, Treasury , and bank global liquidity investment portfolio. + Experience with ... The BSM NTMR analyst provides support to the BSM NTMR manager...in the Banking book (FXRBB), contributes to achieving Corporate Treasury 's balance sheet optimization objectives and Citi's strategic goals.… more
- Citigroup (New York, NY)
- …enhance controls, and ensure successful process execution **Responsibilities:** The Finance Reporting Senior Lead Analyst will be focused on providing variance ... **Department Description** The Non-Trading Market Risk (NTMR) Operations within Treasury Chief Administrative Office (CAO) is responsible for reporting, analytics… more
- Aflac (New York, NY)
- Associate, FP&A Analyst , GI The Company: Aflac Asset Mgt. LLC The Location: New York City, NY, US, 10005 The Division: Global Investment Job Id: 7034 A bout Our ... to our affiliated insurance company's objectives for income, asset-liability management, liquidity , and capital. GI is responsible for generating approximately $3.5… more
- Citigroup (New York, NY)
- The Technology Lead Business Analyst is a senior -level position responsible for liaising between business users and technologists to exchange information in a ... + Ability to work cross-functionally across multiple disciplines including Treasury , Finance, Risk, Operations, and Markets **Qualifications:** + 6-10 years… more
- Citigroup (New York, NY)
- …resource management and allocation of work within the team/project. The BSM NTMR Senior Lead Analyst exhibits good understanding of fixed income portfolio asset ... The Balance Sheet Management and Non-Trading Market Risk (BSM+NTMR) Sr Lead Analyst is a strategic professional who closely follows latest trends in own field and… more
- Citigroup (New York, NY)
- The BSM NTMR senior analyst exhibits understanding of bank balance sheet management and optimization, balancing financial resources among different competing ... foreign currency risk in the banking book (FXRBB) to achieving Corporate Treasury 's balance sheet optimization objectives and Citi's strategic goals. Ability to… more
- Aflac (New York, NY)
- …performance. Job Summary Within Aflac's Global Investments, the Vice President, Quantitative Analyst is senior working member leader of Aflac Global Investments ... to our affiliated insurance company's objectives for income, asset-liability management, liquidity , and capital. GI is responsible for generating approximately $3.5… more