
Treasury Market & Liquidity Risk Analyst
Welcome to Truist Financial, where we believe in the power of teamwork and collaboration to drive success. We are currently seeking a talented and driven Treasury Market & Liquidity Risk Analyst to join our team. In this role, you will play a crucial role in identifying, measuring, and mitigating market and liquidity risks for our organization. As a member of our team, you will have the opportunity to work with a diverse group of professionals and make a meaningful impact on our company's financial stability. If you have a passion for risk management and a strong analytical mindset, we invite you to apply for this exciting opportunity.
- Identify and assess market and liquidity risks for Truist Financial.
- Develop and implement risk management strategies to mitigate potential risks.
- Monitor and report on market and liquidity risk exposures.
- Conduct in-depth analysis of market and liquidity risk data to identify trends and make recommendations for risk management.
- Collaborate with cross-functional teams to ensure alignment with overall risk management strategy.
- Stay updated on industry trends and regulations related to market and liquidity risk management.
- Communicate risk assessment findings and recommendations to senior management in a clear and concise manner.
- Develop and maintain strong relationships with internal and external stakeholders.
- Participate in the development and enhancement of risk management policies and procedures.
- Train and educate other team members on market and liquidity risk management best practices.
- Continuously evaluate and improve risk management processes and procedures.
- Adhere to all regulatory and compliance requirements related to market and liquidity risk management.
- Contribute to the overall success and growth of Truist Financial through collaboration and teamwork.
Bachelor's Degree In Finance, Economics, Or A Related Field
3-5 Years Of Experience In Financial Analysis, Specifically In A Treasury Or Liquidity Risk Role
Strong Understanding Of Financial Markets And Instruments, Including Fixed Income And Derivatives
Experience With Liquidity Stress Testing, Liquidity Risk Modeling, And Liquidity Risk Management
Knowledge Of Regulatory Requirements And Industry Best Practices Related To Treasury And Liquidity Risk Management, Such As Basel Iii And Ccar.
Financial Analysis
Data Analysis
Financial Modeling
Cash flow analysis
Investment Strategy
Risk assessment
Regulatory compliance
Asset management
Market trends
Liquidity Management
Treasury Operations
Communication
Conflict Resolution
Customer Service
Emotional Intelligence
Leadership
Time management
creativity
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Treasury Market & Liquidity Risk Analyst in Charlotte, NC, USA is $75,000 to $110,000 per year. This can vary depending on the specific company, years of experience, and level of education. Some employers may also offer additional benefits such as bonuses, stock options, and other incentives.
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Truist Financial Corporation is an American bank holding company headquartered in Charlotte, North Carolina. The company was formed in December 2019 as the result of the merger of BB&T and SunTrust Banks.

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