Hybrid Senior Liquidity Strategy Analyst – Liquidity Management

Posted last month

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About the role

  • Develops, implements and monitors liquidity management strategies at the enterprise and line of business levels
  • Develops complex analytical strategies, tools and methodologies to model, measure, monitor and assess capital and liquidity adequacy across the enterprise
  • Develops and monitors liquidity policies and comprehensive contingency funding plans
  • Independently assesses and communicates complex regulatory capital and liquidity rules
  • Conducts complex balance sheet analysis integrating capital, liquidity, cash and investment strategies
  • Responsible for efficient deployment of liquidity and management of cash positions across enterprise, insurance, investment and banking lines of business
  • Advises key stakeholders on liquidity management issues and evaluates analysis for governance committees
  • Key contributor to Treasury initiatives in enterprise stress test planning and execution; evaluates stress scenario results and establishes contingency plans
  • Prepares and communicates key liquidity plans, metrics, analysis and reports to governance committees, senior management, regulatory bodies and the USAA Board of Directors
  • Ensures risks associated with business activities are identified, measured, monitored, and controlled in accordance with risk and compliance policies

Requirements

  • Bachelor’s degree; OR 4 years of related experience (in addition to the minimum years of experience required) may be substituted in lieu of degree
  • 6 years of related experience in Finance, Risk Management, Treasury, Capital and Liquidity Management and/or Accounting
  • Subject matter expert knowledge of Microsoft Office products including Excel
  • Proven ability to effectively influence and build cross-functional relationships with employees of various levels throughout the organization
  • Strong written and verbal communication skills, including the ability to create and present executive-level presentations
  • Ability to effectively work with both internal and external partners
  • Experience in Liquidity Management within the financial services industry (preferred)
  • Proven expertise in risk management, including risk metric development and monitoring (preferred)
  • Experience working with Regulatory Bodies (OCC, FRB, TDI) (preferred)
  • Chartered Financial Analyst (CFA) Designation (preferred)
  • Master’s degree in business, Finance, Mathematics, or other related field (preferred)
  • US work authorization required; USAA does not provide visa sponsorship for this role

Benefits

  • Comprehensive medical, dental and vision plans
  • 401(k)
  • Pension
  • Life insurance
  • Parental benefits
  • Adoption assistance
  • Paid time off program with paid holidays
  • 16 paid volunteer hours per year
  • Various wellness programs
  • Career path planning and continuing education
  • Paid incentives based on corporate and individual performance
  • Flexible work environment (requires in-office 4 days per week)

Job title

Senior Liquidity Strategy Analyst – Liquidity Management

Job type

Experience level

Senior

Salary

$114,080 - $218,030 per year

Degree requirement

Bachelor's Degree

Location requirements

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