Business Analyst

 
Location: Tampa, Florida
Posted On: 8/8/2017
Job Code: 5554_LiquidityAnalys
Print
ALL ALL ALL
 
Job Description
 
Job Responsibilities:
• Uses the functions that our team uses on a daily basis to analyze data - these formulas are (Lookups, Sumifs, Countifs, Pivot tables, If statements, conditional formatting)
• Looking for is someone at the beginning of his/her carrier with 2-3 years of relevant (banking / financial) experience.
• Very strong Excel skills!
• Ability to work extended hours and under pressure.
• Global Treasury Liquidity Reporting Analytics performs a number of activities driving analytical solutions for Regulators, Global Liquidity Management (GLM) and Business Treasurers. The team's product lines are expanding due to ongoing transformations in Liquidity Risk Management Standards, Regulatory Reporting requirements and Treasury Solutions Implementation.
The position will involve working closely with:
• Risk Reporting/Risk Management,
• Finance/Product Control,
• GLM
• Treasury

Responsibilities:
Daily variance analysis, Issue resolution by providing remedial action plan, Drive analytical solutions related to liquidity reporting.
Category:IT  code:new
 
 
Job Requirements
 
 
Qualifications:
• Bachelor's Degree,
• Solid MS Excel skills
• 1-3 years relevant working experience.
• Working knowledge of balance sheet, risk or liquidity reporting.
• Process Automation experience is a plus
• Finance or Credit Risk relevant experience.
• Knowledge and exposure to financial products is required.
 

Not Ready to Apply?
Contact Details
 
Recruiter
Akshara Ak
 
Phone
 
E-mail Address
 
LinkedIn