Liquidity Risk Analyst Resume Samples

4.8 (85 votes) for Liquidity Risk Analyst Resume Samples

The Guide To Resume Tailoring

Guide the recruiter to the conclusion that you are the best candidate for the liquidity risk analyst job. It’s actually very simple. Tailor your resume by picking relevant responsibilities from the examples below and then add your accomplishments. This way, you can position yourself in the best way to get hired.

Craft your perfect resume by picking job responsibilities written by professional recruiters

Pick from the thousands of curated job responsibilities used by the leading companies

Tailor your resume & cover letter with wording that best fits for each job you apply

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Resume Builder
CHOOSE THE BEST TEMPLATE - Choose from 15 Leading Templates. No need to think about design details.
USE PRE-WRITTEN BULLET POINTS - Select from thousands of pre-written bullet points.
SAVE YOUR DOCUMENTS IN PDF FILES - Instantly download in PDF format or share a custom link.

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Create a Resume in Minutes
GC
G Crona
Gabriella
Crona
10306 Blanda Passage
San Francisco
CA
+1 (555) 860 9659
10306 Blanda Passage
San Francisco
CA
Phone
p +1 (555) 860 9659
Experience Experience
New York, NY
Liquidity Risk Analyst
New York, NY
McCullough, Nolan and Strosin
New York, NY
Liquidity Risk Analyst
  • Coordinate the production and distribution of daily/weekly/monthly liquidity risk reports to the business units, Liquidity Risk Oversight team, senior management, and regulators
  • Provide timely, accurate, and meaningful liquidity and funding information to Liquidity Risk Oversight team, senior management, regulators, and risk managers by maintaining data quality in the reporting processes and utilizing system tools to control the accuracy of report results
  • Develop and maintain legal-entity specific liquidity reporting for Asia as specified by local regulators and senior management
  • Provide support to North America and EMEA team members in producing daily, weekly, and monthly risk reports
  • Attain extensive working knowledge of the liquidity risk reporting systems and infrastructure. Partner with technology teams and colleagues in North America to implement improvements in the technology platform
  • Conduct ad hoc risk analysis
  • Develop improvements and efficiencies in risk reporting processes and governance framework
Houston, TX
Credit & Liquidity Risk Analyst
Houston, TX
Swift, Jacobi and Herman
Houston, TX
Credit & Liquidity Risk Analyst
  • Liaise with market risk, financial surveillance, and other departments to familiarize others with counterparty credit risk profiles and to build knowledge of credit risk ratings
  • Perform and assist analyst in performing daily procedures to monitor risks to the clearinghouse, including credit alerts, collateral monitoring, and liquidity stress testing
  • Provide analyst assistance in performing reviews and evaluations
  • Provide leadership in assessment of market conditions that affect counterparty credit risk changes and systemic risk to CME
  • Prepare and present weekly/ad hoc economic data, market data, and counterparty data to Senior Management
  • Working knowledge of Bloomberg, Excel, Powerpoint, Word
  • Identify key areas of focus prior to review
present
Chicago, IL
Market & Liquidity Risk Analyst
Chicago, IL
Jenkins, Dickinson and Terry
present
Chicago, IL
Market & Liquidity Risk Analyst
present
  • Involvement in trading and investment related committees and working groups, such as the Market Risk Oversight Committee and Volcker Rule Working Group
  • Uses existing procedures to solve routine or standard problems
  • Develops competence by performing structured work assignments
  • Opportunity to lead special Volcker-related projects, such as subsidiary reviews
  • Risk oversight and collaboration with management, traders, and middle office to enhance risk management and monitoring of the trading and investment activities within Regions, as well as identify potential emerging risks
  • Receives instruction, guidance and direction from others
  • Very high attention to detail with a highly disciplined approach to process and quality control
Education Education
Bachelor’s Degree in Business Administration
Bachelor’s Degree in Business Administration
Ball State University
Bachelor’s Degree in Business Administration
Skills Skills
  • Strong analytic capabilities, including ability to summarize complex business problems and detailed analysis with clarity and brevity
  • Ability to work and solve problems independently, and be able to work in a fast paced, deadline oriented environment
  • Strong financial market knowledge of fixed income, capital markets, and banking products
  • Excellent ability to work within a team
  • Self-motivated with high personal standards for quality of work
  • Good written and verbal communication skills
  • Ability to improve current processes and achieve efficiencies
  • Ability to ensure work is conducted in an independent and ethical manner
  • Self-motivated, and comfortable working with large amounts of data
  • Knowledge of market and liquidity risk metrics and financial products
Create a Resume in Minutes

8 Liquidity Risk Analyst resume templates

1

Liquidity Risk Analyst Resume Examples & Samples

  • Coordinate the production and distribution of daily/weekly/monthly liquidity risk reports to the business units, Liquidity Risk Oversight team, senior management, and regulators
  • Understand key market and liquidity risk measures such as liquidity coverage ratio, net stable funding ratio, liquidity asset buffer, and non- liquidity asset buffer, deposit balances, and stress tests and explain material risk moves
  • Liaise with Liquidity Risk Oversight team to implement liquidity risk reports in support of legal entity reporting requirements and manage the liquidity risk limits and indicators process, including breach management
  • Provide timely, accurate, and meaningful liquidity and funding information to Liquidity Risk Oversight team, senior management, regulators, and risk managers by maintaining data quality in the reporting processes and utilizing system tools to control the accuracy of report results
  • Develop and maintain legal-entity specific liquidity reporting for Asia as specified by local regulators and senior management
  • Provide support to North America and EMEA team members in producing daily, weekly, and monthly risk reports
  • Attain extensive working knowledge of the liquidity risk reporting systems and infrastructure. Partner with technology teams and colleagues in North America to implement improvements in the technology platform
  • Conduct ad hoc risk analysis
  • Develop improvements and efficiencies in risk reporting processes and governance framework
  • Ability to work and solve problems independently, and be able to work in a fast paced, deadline oriented environment
  • Team player who can interact at ease with colleagues of various levels
  • Knowledge of market and liquidity risk metrics and financial products a plus
2

Liquidity Risk Analyst Resume Examples & Samples

  • Running and maintenance of the existing funding and liquidity model. This model generates the underlying data for the monthly BASELIII LCR and NSFR metrics, SARB BA 300 regulatory return and the LRA metric
  • Maintenance of the model assumptions, modelling documentation and stress testing approaches
  • As required, develop an understanding of modelling systems used by the bank such as SAS, QRM and QlikView
  • Assist with the development testing and transfer to production environment of new and current prototype models as required from time to time
  • Assist with data analysis as required for liquidity risk and funding. Become proficient in the data analysis tools used by the Bank as required (e.g. Excel, Access, SAS, QlikView)
  • Provide assistance as required with production of all liquidity and funding reports (e.g. gathering of data and assumptions, performance of calculations, production of sections of the reports and the like)
  • Develop and understanding of approaches used in the management of liquidity risk, both within the Bank and also by its peers
  • Develop an understanding of the liquidity risk management policies used, such as the contingency funding plan. Contribute ideas about how these policies could be enhanced
  • Provide support for meetings with auditors, ratings agencies and other parties as required
  • B-degree (Accounting/Quantitative Finance)
  • Prior banking experience required (Treasury environment preferable)
  • Skilled in data manipulation
3

Liquidity Risk Analyst Resume Examples & Samples

  • Develop a thorough understanding of data sourcing for all liquidity management reporting. Become familiar with the “product template” and the reports it populates. Understand the overlaps in data requirements between reports / processes and ensure that the data sourcing is the same or that controls are in place to ensure that data is consistent and accurate
  • Production of liquidity forecasts for the following 30-day, 1-year horizon
  • Supplying information for the production of stress scenarios to quantify the likely impact of certain events on the balance sheet and to report on what incremental funding may be required
  • Responsible for participating in the production of existing as well as playing a role in the development of Regulatory reporting requirements such as Basel III (LCR, NSFR) and FED 5G reporting
  • Participate with members of the various disciplines to identify ways to streamline and automate process flows in order to create more accurate and timely results, as well as improving efficiency
  • The ideal candidate will have a BS or BA and 2–5 years’ work experience in finance (e.g. Liquidity Risk Management, Financial / Product Control or Treasury)
  • Must possess knowledge of system workflows, front-end and management reporting application systems, and knowledge in the utilization of database technology
  • Strong Microsoft Excel and general Microsoft Office skills is essential
  • An understanding of the business dynamics and drivers that impact Citi’s funding needs and liquidity risks is a positve attribute for success in this position
4

Liquidity Risk Analyst Resume Examples & Samples

  • Ongoing monitoring of key liquidity and market risk indicators
  • Maintain a clean data repository for reporting purposes
  • Periodically validate key risk assumptions
  • Regularly review Risk Limit framework
5

Liquidity Risk Analyst Resume Examples & Samples

  • Assist in coordinating with various groups around the Firm, including Risk and Finance
  • Producing presentations for Legal Entity Risk Asset/Liability Management Committee (“ALCO”) and Firm Senior Management
  • Assist in supporting the Firm’s Resolution Plan financial model
  • Support a variety of Legal Entity and Regulatory requests
  • Liaise with various groups around the Firm, including Risk, other groups within - Corporate Treasury Groups and Finance, as necessary
  • Assist in ad-hoc requests
  • Adept at working in a fast-paced, high-energy level environment
  • Strong analytic capabilities, including ability to summarize complex business problems and detailed analysis with clarity and brevity
6

Market & Liquidity Risk Analyst Resume Examples & Samples

  • Leading a growing team of junior market and liquidity risk analysts
  • Extensive training phase in Switzerland
  • Ongoing monitoring of key liquidity and market risk indicators and maintain a clean data repository for reporting purposes
  • Thoroughly compile regular Treasury and liquidity risk reports
  • Continuously review, improve the reports and all related processes
  • Perform and further develop stress testing and sensitivity analysis (internal and external)
  • Deepen the Treasury and liquidity risk knowledge, and become a subject matter expert in an area with growing importance
  • Contribute to projects with high regulatory and senior management visibility
7

Liquidity Risk Analyst Resume Examples & Samples

  • Develop and improve bank-wide liquidity SQL databases for various liquidity reporting purposes
  • Be responsible for monthly Asset Liability Management reporting
  • Research and develop liquidity stress test assumptions
  • Participate in industry conferences to understand the best practice
  • Peer-bank analysis based on SNL data
  • Other assigned duties
  • Requires a Bachelor’s degree in Finance, Economics, Statistics, Mathematics, or a related field. A Master’s degree preferred but not required. A combination of education and experience may meet the qualifications
  • Proficiency with financial management functions such as interest rate risk, investment security portfolio, funds transfer pricing, financial planning, CCAR, etc
  • 2 plus years of in depth and hands-on experience with SQL, VBA, and Office
  • Ability to understand the latest regulations on liquidity risk
  • Knowledge of banking risks including credit, market, and operational risks and related liquidity risk
  • Ability to work with and understand a banking balance sheet including reverse repo, fixed income securities, unused loan commitments, deposits products, repo, etc. from liquidity risk perspective
  • Outstanding problem solving, analysis and communication skills, both verbal and written
  • Professional interpersonal skills with the ability to work with both management and co-workers
  • Self-motivated. Must be able to manage multiple projects and meet deadlines
8

Liquidity Risk Analyst Resume Examples & Samples

  • Become familiar with SunTrust lines of business and products and related liquidity impacts
  • Evaluate data and reports to determining appropriateness of results
  • Support research for modeling or data feed enhancements
  • Facilitate distribution of standardized reporting of liquidity metrics
  • Degree in Business and 5+ years related work experience
  • Proficient in Microsoft Excel & PowerPoint
  • Extreme attention to detail, effective time management, good communications skills
  • MBA, CPA, CFA
  • Knowledge of finance in the banking industry
  • Knowledge of cash-flow and balance sheet dynamics and drivers
  • Experience with common financial tools, such as G/L systems, Oracle, Essbase, etc
  • Business experience in financial reporting, forecasting, planning, and modeling
9

Liquidity Risk Analyst, AVP Resume Examples & Samples

  • Monitor liquidity risk and ensure adherence to the liquidity reporting framework for all entities in the Mizuho US Operations by measuring daily activity versus established liquidity risk limits
  • Compile and monitor daily liquidity Early Warning Indicators (EWIs) for the US Operations
  • Integrate the liquidity risk reporting of each subsidiary and branch into cohesive reporting packages for senior management, including consolidation of presentations for a biweekly Liquidity Risk Working Group, a monthly US Financial Risk Committee, and a quarterly Board Risk Committee
  • Participate in documentation and testing for some liquidity risk modules being developed by a third party vendor, part of a larger overall system implementation project
  • 5 - 7 years working in an analytical role for a diversified financial institution; experience in a Treasury department or Liquidity Risk function would be ideal
  • Understanding of Liquidity risk management concepts, including cash flow forecasting, liquidity stress testing, and analysis of funding sources and uses for both bank and broker dealer entities
  • Regulation YY - Enhanced Prudential Standards for Foreign Banking Organizations (FBOs)
  • Liquidity Coverage Ratio (LCR) and Net Stable Funding Ratio (NSFR)
  • High comfort level working with data and spreadsheets (e.g. pivot tables and vlookups); experience with VBA and macros also beneficial
  • Good presentation and communication skills, both written and oral
  • Familiarity with financial statement analysis of banks
  • High degree of flexibility and adaptability
10

Senior Credit & Liquidity Risk Analyst Resume Examples & Samples

  • Review counterparty risk credit profiles which includes credit reviews and credit ratings
  • Identify key areas of focus prior to review
  • Perform and assist analyst in performing daily procedures to monitor risks to the clearinghouse, including credit alerts, collateral monitoring, and liquidity stress testing
  • Prepare and present weekly ad hoc economic data, market data, and counterparty data to Senior Management
  • Minimum of 2 years direct experience in credit risk through work in financial statement analysis and/or credit risk assessment
  • Working knowledge of Bloomberg, Excel, Powerpoint, Word
11

Liquidity Risk Analyst, Analyst Resume Examples & Samples

  • Knowledge of banking products and services, understanding of financial and balance sheet analysis, familiarity with liquidity regulation a bonus
  • Basic knowledge of SQL is an advantage
  • No minimum work experience required but helpful
  • Skill to analyze large data sets and prepare conclusions for senior management
  • Self-Starter with strong desire to learn and grow within the team
12

Market & Liquidity Risk Analyst Resume Examples & Samples

  • Receives instruction, guidance and direction from others
  • Risk oversight and collaboration with management, traders, and middle office to enhance risk management and monitoring of the trading and investment activities within Regions, as well as identify potential emerging risks
  • Analyze daily trading desk metrics (including, but not limited to, VaR, P&L Attribution, Duration, Convexity, Correlation, and RENTD) for compliance with market risk limits and Volcker-related quantitative thresholds, prepare metric reports for management review, and team with trading desk management to enhance metrics as needed
  • Review new initiatives and assist with the development and implementation of appropriate policies, procedures, and controls
  • Opportunity to lead special Volcker-related projects, such as subsidiary reviews
  • Work with other teams within MLRM on projects related to asset liability management, investment portfolio, liquidity, and capital risk management
  • Involvement in trading and investment related committees and working groups, such as the Market Risk Oversight Committee and Volcker Rule Working Group
  • Facilitate the preparation of supporting documentation for the regulatory-required annual Volcker CEO attestation
  • Interpret and apply Volcker Rule and compliance program requirements in order to effectively communicate those requirements with internal business groups, internal audit, and regulatory agencies
13

VP Alm-t & Liquidity Risk Analyst Resume Examples & Samples

  • Graduate/Post-graduate in relevant subject (e.g. Finance, Mathematics, Economics, Statistics, Financial Engineering)
  • Strong quantitative background is a must
  • Very strong work ethic and ability to challenge with confidence risk takers within the business lines
  • Advanced proficiency in Microsoft Office Excel and VBA
  • Analytical, rigorous, with attention to details
  • Build and maintain transversal, non-hierarchical relationships with multiple stakeholders
  • Understanding of the requirements of Reg YY and the Enhance Prudential Standards
14

AVP, Liquidity Risk Analyst Resume Examples & Samples

  • Work closely with Treasury and senior management to identify emerging ALM and liquidity risks and conduct analysis
  • Monitor liquidity risk reporting and metrics to identify and escalate potential areas of concern
  • Broad understanding of liquidity risks and balance sheet management
  • Strong financial market knowledge of fixed income, capital markets, and banking products
  • Ability to think strategically and understand implications of liquidity risk management to firm-wide balance sheet and capital management
  • Excellent ability to work within a team
15

Liquidity Risk Analyst Fall Co-op Resume Examples & Samples

  • Perform financial analysis, modeling, for liquidity risk and assist with the production of regulatory liquidity reports. (25%)
  • Maintain, in cooperation with other team members policies and procedures for the production of stress test results and regulatory reporting. (25%)
  • Monitor KRI’s and produce peer analysis, trends and assist in the development of management reporting. (20%)
  • Work with other Treasury members on ALCO presentations and Board reporting. Provide ad hoc reports and analysis on liquidity. (15%)
  • Based on peer analysis work to identify best practices in the industry for liquidity risk management. (15%)
  • Entry level with strong Microsoft office skills
  • Knowledge of Bank balance sheet; interest rate risk and liquidity risk and SQL a plus
16

Liquidity Risk Analyst Resume Examples & Samples

  • We are dedicated to monitor key liquidity risk indicators
  • We develop, improve and perform stress testing
  • We perform analysis work
  • We review Liquidity Risk Limit framework
  • We contribute to the variety of projects
17

Liquidity Risk Analyst Resume Examples & Samples

  • Understand regulatory rules and data requirements for FR2052a/5G, U.S. LCR
  • Produce and review liquidity regulatory reports and related liquidity management reports for senior management and external regulatory agencies
  • Work with line-of-business (LOB) partners to analyze key drivers of period over period variances and provide relevant commentary
  • Research reporting issues as they arise and escalate accordingly to the key stakeholders
  • Partner with LOB, Data Management and Technology to improve data sourcing and work flows for liquidity management reporting
  • Ensure documentation and reporting controls are established and followed in regulatory reports
  • Work on ad-hoc projects as needed by senior management or regulatory requests
  • Minimum 2+ years of working experience with emphasis in financial or balance sheet analysis
  • Attention to detail and process orientation
  • Experience developing, implementing and maintaining reporting in a consistent manner
  • Experience in Corporate Treasury, ideally with a financial institution
18

Credit & Liquidity Risk Analyst Resume Examples & Samples

  • Liaise with market risk, financial surveillance, and other departments to familiarize others with counterparty credit risk profiles and to build knowledge of credit risk ratings
  • Prepare and present weekly/ad hoc economic data, market data, and counterparty data to Senior Management
  • Provide leadership in assessment of market conditions that affect counterparty credit risk changes and systemic risk to CME
  • Review and assess new collateral acceptance requests, which include market fundamental data such as liquidity, volatility, and other market factors
  • In-depth financial statement reviews and interpretation of results
  • Provide analyst assistance in performing reviews and evaluations
  • Bachelors Degree: Business Administration (Finance, Accounting, Marketing, Economics)
  • Must have a strong understanding of financial statements
  • 0 to 3 years relevant experience
19

Liquidity Risk Analyst Resume Examples & Samples

  • Compile a suite of daily and monthly liquidity risk related reports for the US Operations, with a key focus on the MHBK NY Branch and MHBK(USA) subsidiary
  • Monitor liquidity risk and ensure adherence to the liquidity reporting framework by measuring daily activity versus established liquidity risk limits. Focus will initially be on the MHBK NY Branch and MHBK(USA), but expectation is to expand into other entities within the MUSO
  • Integrate the liquidity risk reporting of each subsidiary and branch into cohesive MI packages for senior management, including consolidating presentations for a biweekly Liquidity Risk Working Group, a monthly US Financial Risk Committee, and a quarterly Board Risk Committee
  • Respond to ad hoc liquidity reporting requests posed by senior management in the US and Head Office (HO) in Japan
  • Update liquidity risk policies and procedures periodically and as needed
  • 1-2 years working in an analytical role for a diversified financial institution; experience in a Treasury department or Liquidity Risk function would be ideal
  • Ability to quickly absorb financial concepts and apply them to real world situations
  • High comfort level with working with data and spreadsheets, ideally with basic to intermediate knowledge of VBA/macros
  • Good presentation skills, both written and oral
  • High degree of flexibility with respect to requirements that may be fluid at times
  • Bachelor’s degree required; finance or accounting degree preferred
  • Must be eligible to work in the US (no visa sponsorship)
  • Understanding of Liquidity risk management concepts, methods, and models, including cash flow forecasting, liquidity stress testing, and analysis of funding sources and uses, and their application to both bank and broker dealer entities
  • Familiarity with BIS and US liquidity risk regulations including
20

Liquidity Risk Analyst Resume Examples & Samples

  • Design and conduct the independent assessment of liquidity risks and risk management processes
  • Enhance the firm-wide governance framework for liquidity risks, including enhancements related to changes in the regulatory environment
  • Participate in the development of the Liquidity Policy and Standards
  • Provide independent challenge on liquidity assumptions and limit framework
  • Conduct independent research projects focus on liquidity risks
  • Produce reports and present analyses to senior management and regulators
  • Ability to ensure work is conducted in an independent and ethical manner
  • Postgraduate level education, with an excellent academic record in economics, finance or other quantitative field (e.g. mathematics, physics, statistics, etc.). Masters or higher degree is preferred
  • Experience in Risk Management, Finance, Treasury, or other control functions within a financial services setting
  • Prior experience related to liquidity management or Treasury products
  • Knowledge of balance sheet management, capital markets and banking products, and financial systems
21

Liquidity Risk Analyst Resume Examples & Samples

  • Monitor the Bank’s liquidity risk position against limits and further develop the related processes
  • Analyze drivers and trends in the Bank’s liquidity risk position
  • Develop, improve and perform liquidity risk stress testing
  • Prepare slide packs for committee presentations
  • Contribute to a variety of projects
22

VP-alm-t & Liquidity Risk Analyst Resume Examples & Samples

  • Accompany the Group’s development with a business-minded spirit
  • Minimum 5+ years of experience in Banking industry, within Risk Function, Business Lines, Middle Office or Audit
  • Excellent communication across verbal, written and presentation skills
  • Go beyond existing frameworks by suggesting new ideas to enhance BNPP risk framework
  • Desire to proactively take ownership of objectives and drive results
  • Agile to quickly adapt to new situations and financial market events
  • Understanding and of key Market interest rate indicators
  • Working experience related to ALM-T activities
  • Knowledge of key regulatory liquidity risk metrics (LCR, NSFR)
  • Knowledge of key Interest Rate Risk metrics such as NII, EVE, Interest Gap and PV01