Treasury Data Analyst - (Treasury/Liquidity Experience Needed)

Canon Recruiting Group

Treasury Data Analyst - (Treasury/Liquidity Experience Needed)

Charlotte, NC
Full Time
Paid
  • Responsibilities

    3 days a week in the office

    POSITION: Finance Analyst

    FULLTIME/PARTTIME: Fulltime

    LOCATION: Charlotte, NC 28255

    SCHEDULE: 40hrs

    PAY RANGE: $60.00 – 65.00 hourly
    (Exact compensation may vary based on skills, experience, and location. Base pay information is based on market location.)

    ASSIGNMENT: ASAP to 12.31.2025

     

    JOB DESCRIPTION/RESPONSIBILITIES:

    • Own and manage Traded products Book of work, including full ownership of RAID management, UAT oversight and user engagement.

    • Present monthly status to CORE stakeholders on the changes to the program, and drive topics for discussion and escalation.

    • Complete data analysis and propose design solutions to migrate over key reporting artefacts to new visualization tool

    • Develop and enhance controls and user experience of book of work items, and ensure appropriate due diligence has been completed

    • Partner closely with Global Market users on additional requirements and engagement to ensure business adoption is successful, end to end.

    • Manage multiple weekly working groups, with clear agenda, minutes being tracked as part of ensuring accountability.

    REQUIRED QUALIFICATIONS:

    • Ability to analyze and manipulate large quantities of data with great attention to detail as well as understand the flow of data within database applications

    • Excellent time management skills, including the ability to meet deadlines, and manage multiple priorities without sacrificing quality or timelines

    • Strong analytical and presentation skills

    • Strong communication (written and oral)

    • Strong ownership and accountability skills, including project management skills

    • Ability to build relationships with all teams engaged [Tech, GLM, GM and TDM]

    • Self-motivated, self-directed

    • Proficient with Microsoft tools (Excel, Word, PowerPoint)

    • 3+ years of financial and/or data analytics experience with a financial institution

    • Bachelor’s degree in finance, Accounting, Economics, Business, or a related field - or related work experience

    DESIRED SKILLS AND EXPERIENCE:

    • Experience developing, implementing, and maintaining reporting in a consistent manner
    • Solid understanding of Treasury / liquidity concepts and liquidity regulations
    • Experience in Global Markets and/or Line of Business Experience
    • Experience in regulatory reporting
    • Ability to navigate complex data environments and manipulate large data sets.