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Treasury Analyst

ExperiencedNo visa sponsorship
BNP Paribas logo

at BNP Paribas

Investment Banking

Posted 3 days ago

No clicks

**Treasury Analyst** drives liquidity reporting, funding, and stakeholder communication for the organization's Asset & Liability Management (ALM) and Treasury functions. Key responsibilities include building relationships, periodic reporting to shareholders and funders, maintaining financial models, coordinating Treasury Forum packs, and ensuring compliance with KYB and SENS announcements. The role requires a finance/accounting degree, 3-5 years in treasury/corporate banking, proficiency in Excel, and familiarity with banking compliance. Candidates should exhibit strong analytical skills, a make-it-possible attitude, and the ability to work under pressure.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
Not specified

Full Job Description

Main Purpose Statement 

To support the organisations ALM and Treasury functions by managing liquidity reporting, funding relationships, compliance, and stakeholder communication through accurate analysis, modelling, and timely delivery of key internal and external reporting.

Key Responsibilities

  • Building relationships internally (across business units, and with shareholder) as well as externally in order to meet various deliverables
  • Periodic reporting to our shareholder (ALM as well as any other reporting requirements)
  • Periodic and ad hoc reporting to various funders (bank and institutional)
  • Maintain the Funding Dashboard
  • Maintain financial models reflecting liquidity and rate gap analysis.
  • Preparing monthly Treasury Forum pack, co-ordinating and presenting the pack to the relevant members
  • Perform monthly variance analysis budget vs actual with detailed reconciliations and assist with budget cycle preparation
  • Ensure KYB compliance for all financial institutions, on boarding and recertifications
  • Assistance in treasury activities for regulatory and internal policy compliance.
  • Assistance in monitor upcoming maturities and managing roll over liquidity events
  • Assistance in collating information for credit reviews with banks, rating agencies and all other external information requests
  • Assistance in preparation of ALCO pack, board presentations and other internal information requests
  • Maintaining Investor Relations website
  • Ensure that all SENS announcements are drafted and released
  • Ensure all relevant documentation (agreements, policies, investor packs etc) are stored in the relevant location
  • Assistance in internal and external audit request.
  • Any ad hoc tasks that arise in the ALM Treasury space

Key Competencies

  • Business acumen and commercial awareness
  • Learning agility & adaptability
  • Expert attention to detail high quality and accuracy output
  • Solution-orientated with strong analytical and problem-solving skills
  • Deadline driven and ability to work under pressure
  • Good communication & negotiation skills and ability to interact at all levels
  • Team player with a make-it-possible attitude

Qualifications, Skills and Experience

  • Finance/Accounting Degree
  • Honours degree or completion of 3-year SAICA articles
  • 3-5 years relevant experience preferably within a Financial Services organisation
  • Previous experience working within a corporate banking or treasury team
  • Proficient in Excel (intermediate - advanced)
  • Knowledge of banking compliance advantageous
  • People management experience (preferred)

Treasury Analyst

Compensation

Not specified

City: Not specified

Country: Not specified

BNP Paribas logo
Investment Banking

3 days ago

No clicks

at BNP Paribas

ExperiencedNo visa sponsorship

**Treasury Analyst** drives liquidity reporting, funding, and stakeholder communication for the organization's Asset & Liability Management (ALM) and Treasury functions. Key responsibilities include building relationships, periodic reporting to shareholders and funders, maintaining financial models, coordinating Treasury Forum packs, and ensuring compliance with KYB and SENS announcements. The role requires a finance/accounting degree, 3-5 years in treasury/corporate banking, proficiency in Excel, and familiarity with banking compliance. Candidates should exhibit strong analytical skills, a make-it-possible attitude, and the ability to work under pressure.

Full Job Description

Main Purpose Statement 

To support the organisations ALM and Treasury functions by managing liquidity reporting, funding relationships, compliance, and stakeholder communication through accurate analysis, modelling, and timely delivery of key internal and external reporting.

Key Responsibilities

  • Building relationships internally (across business units, and with shareholder) as well as externally in order to meet various deliverables
  • Periodic reporting to our shareholder (ALM as well as any other reporting requirements)
  • Periodic and ad hoc reporting to various funders (bank and institutional)
  • Maintain the Funding Dashboard
  • Maintain financial models reflecting liquidity and rate gap analysis.
  • Preparing monthly Treasury Forum pack, co-ordinating and presenting the pack to the relevant members
  • Perform monthly variance analysis budget vs actual with detailed reconciliations and assist with budget cycle preparation
  • Ensure KYB compliance for all financial institutions, on boarding and recertifications
  • Assistance in treasury activities for regulatory and internal policy compliance.
  • Assistance in monitor upcoming maturities and managing roll over liquidity events
  • Assistance in collating information for credit reviews with banks, rating agencies and all other external information requests
  • Assistance in preparation of ALCO pack, board presentations and other internal information requests
  • Maintaining Investor Relations website
  • Ensure that all SENS announcements are drafted and released
  • Ensure all relevant documentation (agreements, policies, investor packs etc) are stored in the relevant location
  • Assistance in internal and external audit request.
  • Any ad hoc tasks that arise in the ALM Treasury space

Key Competencies

  • Business acumen and commercial awareness
  • Learning agility & adaptability
  • Expert attention to detail high quality and accuracy output
  • Solution-orientated with strong analytical and problem-solving skills
  • Deadline driven and ability to work under pressure
  • Good communication & negotiation skills and ability to interact at all levels
  • Team player with a make-it-possible attitude

Qualifications, Skills and Experience

  • Finance/Accounting Degree
  • Honours degree or completion of 3-year SAICA articles
  • 3-5 years relevant experience preferably within a Financial Services organisation
  • Previous experience working within a corporate banking or treasury team
  • Proficient in Excel (intermediate - advanced)
  • Knowledge of banking compliance advantageous
  • People management experience (preferred)