Treasury Analyst

Dallas, Texas

Selby Jennings
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What You'll Be Doing:

  • Review and interpret financial data, including income statements, balance sheets, and cash flow summaries.

  • Maintain records and perform due diligence on investment purchases; coordinate with accounting for seamless integration of new assets.

  • Partner with the Chief Investment Officer to prepare documentation for investment reporting and committee presentations.

  • Manage collateral and pledging strategies to ensure the bank maintains strong liquidity positions and funding capacity; assist with monthly reconciliations of security holdings.

  • Draft internal communications and reports for leadership and committee meetings; support quarterly asset-liability management sessions.

  • Provide direct financial analysis to senior leadership (CFO, CIO, CEO) with a focus on balance sheet performance and strategic planning.

  • Contribute to internal and regulatory liquidity reporting, including preparing presentations for senior management and the board.

  • Monitor and report on correspondent banking activity, including regulatory compliance checks.

  • Stay current on internal policies and procedures, recommending updates where appropriate.

  • Collaborate effectively across departments and maintain solid working relationships with internal teams and external stakeholders.

What We're Looking For:

  • Bachelor's degree in finance, economics, accounting, or a related discipline.

  • 3-5 years of experience in treasury, banking finance, or investment/asset management.

  • Strong knowledge of financial accounting principles (GAAP) and liquidity risk concepts.

  • Solid skills in Microsoft Office (Excel, Word, PowerPoint); familiarity with tools like Bloomberg or Capital IQ is a plus.

  • Excellent communication abilities and a collaborative mindset.

  • Ability to manage competing priorities and meet deadlines in a dynamic environment.

  • Self-starter with a high degree of initiative and accountability.

Desired Skills and Experience

What We're Looking For:

Bachelor's degree in finance, economics, accounting, or a related discipline.

3-5 years of experience in treasury, banking finance, or investment/asset management.

Strong knowledge of financial accounting principles (GAAP) and liquidity risk concepts.

Solid skills in Microsoft Office (Excel, Word, PowerPoint); familiarity with tools like Bloomberg or Capital IQ is a plus.

Excellent communication abilities and a collaborative mindset.

Ability to manage competing priorities and meet deadlines in a dynamic environment.

Self-starter with a high degree of initiative and accountability.
Date Posted: 02 May 2025
Job Expired - Click here to search for similar jobs