About This Opportunity
Elevate your career as a Liquidity Analyst within Capital Markets, managing risk and optimizing the Bank’s financial portfolio. Utilize your analytical skills to develop effective hedging strategies.
This role involves supporting the Bank's liquidity measures and addressing regulatory requirements, while analyzing financial data for insights. You will coordinate initiatives and collaborate with various stakeholders to implement effective risk management solutions.
Key Responsibilities:
• Support the management of liquidity risk and balance sheet strategies
• Recommend and develop hedging strategies based on market trends
• Analyze data for strategic recommendations to stakeholders
• Collaborate to implement corporate standards and principles
• Support change management and reporting processes
Requirements:
• 1-2 years of related financial analysis experience
• Expertise in Excel, SQL, Python, and VBA programming
• Strong analytical, problem-solving, and...