Sr. Associate - Treasury Data Analytics

SantanderBoston, MA
7d$105,000 - $180,000

About The Position

Santander is a global leader and innovator in the financial services industry and is evolving from a high-impact brand into a technology-driven organization. Our people are at the heart of this journey and together, we are driving a customer-centric transformation that values bold thinking, innovation, and the courage to challenge what’s possible. This is more than a strategic shift. It’s a chance for driven professionals to grow, learn, and make a real difference. If you are interested in exploring the possibilities We Want to Talk to You! The Difference You Make: The Sr. Associate, Treasury provides subject matter expertise in one or more of the following processes: Asset-Liability Management, Interest Rate Risk, Liquidity Risk, Investment Portfolio Management, Cash Management, Debt Capital Markets, Capital Allocation, Capital Market Theory, Capital Planning, and Recovery & Resolution. The incumbent implements complex solutions aligned with department priorities and participates in complex analysis and projects supporting balance sheet, investment, asset-liability, or capital management objectives.

Requirements

  • Bachelor's Degree: Accounting, Finance, Economics or equivalent field. - Required.
  • 9+ Years Banking/Financial Services Industry or related field - Required.
  • Strong verbal and written communication skills with the ability to effectively engage internal and external stakeholders.
  • Excellent analytical, organizational, and project management skills, with the ability to research, organize, and analyze financial data.
  • Ability to make effective decisions on complex matters and drive results with a sense of urgency.
  • Strong interpersonal and supervisory skills, with a customer service mindset.
  • Ability to manage multiple demands and competing priorities in a dynamic environment.
  • Advanced proficiency in MS Excel and Word, SQL, Power BI, Tableau, and Python.

Nice To Haves

  • Master's Degree: Finance, Accounting, Economics or equivalent field. - Preferred.
  • Established work history or equivalent demonstrated through a combination of work experience, training, military service, or education.
  • Experience in Microsoft Office products.

Responsibilities

  • Analyze, report, and support mitigation of liquidity, market, interest rate, and capital risks.
  • Conduct financial, variance, profitability, forecasting, liquidity, capital, governance, and business line analysis to improve balance sheet and capital efficiency and ensure adherence to established risk limits.
  • Develop cash flow forecasts, analyze variances, and monitor key treasury metrics and KPIs.
  • Prepare, validate, and maintain accurate data for analysis, delivering well-structured reports, dashboards, and presentations for senior audiences.
  • Execute established policies, procedures, risk limits, reporting, and stress testing requirements while supporting a strong internal control environment.
  • Implement operational processes to ensure effective risk assessment, management, and reporting across Treasury functions.
  • Serve as an internal consultant by providing insights and recommendations to address business challenges and support strategic initiatives.
  • Ensure lines of business have appropriate data and information for modeling activities.
  • Identify and implement process and system improvement opportunities and communicate effectively with internal and external stakeholders.
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