Senior Analyst, Treasury Capital Management

Description

Senior Analyst, Treasury Capital Management Who We Are Cross River is a highly profitable fast-growing financial technology company recognized for the third year in a row by CB Insights as one of the 250 best global fintechs. Our comprehensive suite of innovative products powers financial solutions with a strong focus on regulatory compliance for our partners and their millions of consumers around the world. We are on a mission to build the infrastructure that propels access, inclusion and the democratization of financial services. While our company has tripled in size over the last three years, our strong sense of purpose led Cross River to be named to American Banker’s list of Best Places to Work in Fintech for the last 4 consecutive years. The reason for this success is simple --- our nimble, adaptive, and collaborative family culture lives in every member of our growing team. Together we are at the forefront of technology and innovation in financial services and we invite collaborative and motivated high performers to join our rapidly expanding team. What we’re looking for Responsibilities: Assist with running the enterprise-wide capital stress test, including model risk management as well as preparing and reviewing the results and reporting to senior management to determine the capital constraints of Bank Analysis of the key risk drivers of the fintech products to determine potential capital impact in a stressed and BAU environment Partner effectively across the Treasury Department and various areas of Finance and Business Units, utilizing strong financial and analytical skills, as well as thorough understanding of capital planning, funding strategies and key balance sheet metrics Performing analysis activities to support organization’s capital initiatives, which includes analyzing regulatory capital results, capital raises, capital structuring, interpreting regulatory requirements in the context of a business problem and developing financial solutions Foster relationships with partners with business and finance departments to resolve capital questions, provide strategic guidance and communicate capital usage, utilizing understanding of changing regulatory capital framework (including Basel III regulatory capital rules) and its impact on business, including the management of capital as well as in the consideration of liquidity, stress testing and strategic planning Skills and Qualifications: 2-5 years of one or more of investment banking, risk management, finance, Treasury, or strategy consulting from a top tier financial institution Banking experience within Treasury, Risk Management, Credit Risk or FP&A preferred Experience with Microsoft Office Suite Technologically proficient Effective in data gathering/synthesis, able to work in an unstructured environment, effective communication skills and able to build partnerships internally and externally An outlier attitude: passion, perseverance, and positivity Equal Employment Opportunity: Cross River Bank provides equal employment opportunities (EEO) to all employees and applicants for employment without regard to race, color, religion, gender, national origin, age, disability, disability, marital status, amnesty, or status as a covered veteran in accordance with applicable federal, state, and local laws. #LI-TP1 Cross River is an Equal Opportunity Employer. Cross River does not discriminate on the basis of race, religion, color, sex, gender identity, sexual orientation, age, non-disqualifying physical or mental disability, national origin, veteran status or any other basis covered by appropriate law. All employment is decided on the basis of qualifications, merit, and business need. By submitting your application, you give Cross River permission to email, call, or text you using the contact details provided. We will only contact you with job related information.

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