
A leading financial institution in New York is seeking a candidate to manage and optimize their balance sheet within the Corporate Treasury department. This role focuses on executing the firm's deposit raising strategy and analyzing risks associated with liquidity and funding. The ideal applicant should possess strong analytical skills, a risk management mindset, and the ability to communicate effectively with stakeholders. A proactive and detail-oriented individual with 1-3 years of experience is desired. This position offers the chance to work in a dynamic environment and engage with senior management.
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