Job Summary
A company is looking for a Balance Sheet Management Analyst to support balance sheet forecasting and interest rate risk analytics.
Key Responsibilities
- Engage in balance sheet forecasting for commercial loan and capital markets products
- Validate model inputs and outputs, ensuring accurate forecasting results
- Support transformation efforts to improve and automate processes
Required Qualifications
- 2+ years of Treasury experience or equivalent work experience, training, or education
- Bachelor's degree in finance, accounting, economics, mathematics, or a quantitative field
- Knowledge of bank balance sheet products
- Experience in balance sheet forecasting and/or interest rate risk analysis
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