Lead Treasury Risk Analyst

2 weeks ago


Buffalo, New York, United States Northwest LLC Full time


The Senior Financial Risk Analyst plays a crucial role in the formulation of quantitative and analytical models to bolster the firm's strategies in managing interest rate and liquidity risks.

This position also involves supporting transactions and reporting related to securities, foreign exchange, interest rate swaps, and borrowings. The individual will oversee all requests from Internal Audit and External Regulatory bodies.

Key Responsibilities

  • Construct quantitative and analytical models to enhance the firm's interest rate and liquidity risk management strategies.
  • Oversee the preparation and reporting of asset-liability scenarios and models, including cash flow models and liquidity and capital stress tests.
  • Manage administrative tasks associated with Foreign Exchange, Interest Rate Swaps, Securities, and Borrowing transactions.
  • Direct Model Risk Management documentation activities and ensure timely remediation of any findings.
  • Handle requests from Regulatory, Audit, and Compliance departments.
  • Ensure adherence to third-party vendor management practices, maintaining data integrity.
  • Align operations with Northwest's risk appetite.
  • Contribute to the budgeting process, particularly in generating net interest income.
  • Compile management reports and prepare various footnotes and schedules for quarterly and annual reporting requirements.
  • Assist in the Finance Transformation Initiative utilizing Workday ERP.
  • Propose alternatives to enhance profitability and improve operational procedures.
  • Minimize non-payroll costs within the department.
  • Enhance customer service levels.
  • Pursue continuing education opportunities.
  • Maximize the use of available technology tools.
  • Effectively manage personal workload and workflow.

Additional Responsibilities

  • Complete special projects as assigned.

Safety and Health Responsibilities

  • Adhere to safety and loss prevention protocols.
  • Perform tasks in a safe manner.
  • Report any injuries to a supervisor.
  • Be prepared for emergency situations.

Qualifications
To excel in this role, candidates must meet the following requirements:

Education
Bachelor's Degree in Finance, Economics, Mathematics, Statistics, or Banking.

Experience

  • 8 years of relevant risk analytical experience in the financial services sector.
  • 8 years of experience with fixed income securities, derivatives, or stress testing.

Core Competencies

  • Ability to foster effective working relationships and collaborate in problem-solving and decision-making.
  • Strong communication skills, both oral and written, tailored to the audience.
  • Active listening skills to ensure understanding and facilitate open exchanges of ideas.
  • Proficiency in establishing action plans to achieve specific goals and effectively monitor progress.
  • Sound judgment and decision-making abilities in complex situations.

Additional Skills
Ability to identify and analyze problems, propose innovative solutions, and allocate resources effectively.
Knowledge of interest rate curves and their implications on the organization, along with experience in interest rate derivatives.

Equal Opportunity Employer/Protected Veterans/Individuals with Disabilities


The contractor will not discriminate against employees or applicants based on inquiries regarding compensation.

However, employees with access to compensation information cannot disclose it to individuals without access unless required by law.



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