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US Analyst - Liquidity Risk Management

United States Of America, NEW YORK 80000.00 USD / Year · Job Posted April 05, 2026
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Job Description

Primary Function: Risk Management / Liquidity Risk Management US Analyst

Job Responsibility

  • Produce and analyze the liquidity stresses for the Bank
  • Produce and Analyze Asset and Liabilities reports for the Bank
  • Raise alerts on atypical events/ movements
  • Conduct specific analyzes on the liquidity situation of the Bank as needed
  • Work on maintaining and developing the existing risk management models/ tools (review of model assumptions, inclusion of new products/ activities etc.)
  • Work closely with the Senior Liquidity Risk Manager and report to the Market and Counterparty Risk for the America
  • Have regular interactions with other key partners in the Bank on specific topics
  • Develop the tools implemented by the Risk team: enhancement of excel files with VBA macros, potentially Python programming

Requirements

  • Candidate is a recent graduate with 0-1 years of experience
  • Candidate is eligible to work in the US
  • Candidate will not require Visa Sponsorship now or in the future (including F1, OPT, CPT, etc.)
  • Excellent knowledge of Financial Products especially financing products
  • Good quantitative/ analytical skills to understand and develop the liquidity model
  • Good Knowledge of Excel and Access
  • Ability to maintain VBA Macros
  • Knowledge of Python is a plus
  • Good communication and organization skills
  • Ability to work and interact effectively with the other Departments of the bank and in particular with the Treasury, ALM and IT departments

Nice to have

Knowledge of Python

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