Senior Treasury Asset Liability Management Analyst (Hybrid)

Remote Full-time
About the position The Senior Treasury Asset Liability Management Analyst at M&T Bank plays a crucial role in analyzing and reporting interest rate risk to senior management, supporting strategic and tactical decisions regarding the Bank's balance sheet. This hybrid position involves mentoring less experienced analysts and collaborating with various business lines to enhance the Bank's financial strategies. Responsibilities • Complete monthly analysis and reporting of the Bank's balance sheet interest rate risk position to senior management. • Partner with business lines and Treasury team members to incorporate balance sheet and model assumptions for forecasting the Bank's balance sheet using QRM. • Assist the ALM team in developing strategies by preparing, analyzing, and reporting various scenarios modeled in QRM. • Document and maintain procedures for building forecasted balance sheets and analyses to ensure quality and integrity of reports. • Use spreadsheet software, OLAP, and Business Intelligence software to develop custom reports. • Provide mentoring and guidance to less experienced analysts. • Understand and adhere to the Company's risk and regulatory standards, policies, and controls. • Promote an environment that supports diversity and reflects the M&T Bank brand. • Maintain internal control standards, including timely implementation of audit points and issues raised by regulators. • Complete other related duties as assigned. Requirements • Bachelor's degree with coursework in Finance, Accounting, Economics, and a minimum of 2 years' related risk management experience, or a combined minimum of 6 years' higher education and/or work experience with proven proficiency in Finance, Accounting, or Economics and 2 years' related risk management experience. • Strong quantitative, financial, economic, statistical, and analytical skills. • Detail-oriented with excellent mathematical skills. • Proficiency with spreadsheet, database, and word processing software. • Strong interpersonal and communication skills, with a desire to learn. • Advanced computer skills and strong knowledge of pertinent software. Nice-to-haves • Bachelor's degree plus two years of financial management experience highly preferred; MBA or other relevant Master's degree is ideal. • Chartered Financial Analyst (CFA). • Minimum of 2 years' proven Asset/Liability experience. • Experience with QRM, Bankware, AdCo, or related software. • Experience in mathematical modeling of financial instruments. • Knowledge of bank products and services. • Proficiency in data analytics. • Proven ability to work well in a fast-paced, deadline-driven environment. Benefits • Competitive salary range of $82,783.41 - $137,972.36 Annual (USD). • Equal Opportunity/Affirmative Action Employer, including disabilities and veterans. Apply tot his job
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