What are the responsibilities and job description for the ALM and Treasury Analyst position at soho squares?
Description:
Good knowledge of capital and liquidity reporting requirement regulations (e.g. Basel, CCAR, Resolution Plan etc)
· Good knowledge of FR 2052a and Liquidity Stress Testing (LST). Preferred knowledge of Interest Rate Risk Banking Book (IRRBB).
· Good Knowledge on Financial market and investment products
· Advanced written and verbal communication skills and presentation skills
Profile
· Minimum 6 years of experience in capital monitoring, liquidity reporting, liquidity risk management, liquidity model, financial control, or related field under Banking & Financial Industry
· Perform all aspects of ALM and Treasury level 2 control reviews:(identification of financial risk areas, walkthroughs, testing execution, communication, and follow-up of improvement areas)
· Propose improvements to the financial control framework which includes liquidity, capital management and treasury processes .
· Monitor on the applicable perimeter, the evolution of the risks, the normative and regulatory changes and the projects
Job Type: Contract
Salary: $65.00 per hour
Physical setting:
- Office
Schedule:
- 8 hour shift
Ability to commute/relocate:
- Jersey City, NJ 07310: Reliably commute or planning to relocate before starting work (Required)
Work Location: In person