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Toronto, Ontario, Canada Alterna Savings Full timeJob SummaryThe Senior Quantitative Treasury Analyst is responsible for the development, implementation, and monitoring of procedures and practices for interest rate risk measurement and management for Alterna Savings and Alterna Bank. This role provides financial decision-making support to Management and is responsible for the development, generation, and...
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Toronto, Ontario, Canada Alterna Savings Full timeJob SummaryThe Senior Quantitative Treasury Analyst is responsible for the development, implementation, maintenance, and monitoring of procedures and practices for the interest rate risk measurement and management for Alterna Savings and Alterna Bank. This role provides financial decision-making support to Management and is responsible for the development,...
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Senior Quantitative Treasury Analyst
2 months ago
About the Role
The Senior Quantitative Treasury Analyst is a key member of the Treasury team at Alterna Savings, responsible for developing and implementing procedures and practices for interest rate risk measurement and management. This role requires a strong analytical mindset and expertise in financial modeling, data analysis, and risk management.
Key Responsibilities
- Develop and maintain advanced financial models to analyze and manage interest rate risk
- Prepare and analyze balance sheet risk reports for the Asset Liability Committee (ALCO)
- Develop and implement balance sheet risk management strategies to minimize potential losses
- Collaborate with senior management to provide financial decision-making support
- Ensure accurate and timely data reporting for balance sheet risk management systems
- Develop and maintain expertise in financial derivatives, including interest rate swaps and options
- Perform statistical analysis to derive and validate behavior assumptions for financial models
- Prepare detailed interest rate risk and analysis reports for senior management
- Stay up-to-date with industry trends and best practices in risk management and financial modeling
Requirements
- Undergraduate degree in economics, accounting, finance, mathematics, or computer science
- Professional accounting or finance designation, such as CFA or MBA
- Minimum 5 years of experience in the financial industry, preferably in Treasury or Risk Management
- Strong analytical and problem-solving skills, with expertise in financial modeling and data analysis
- Proficiency in Microsoft Office and system analytical tools
- Knowledge of capital markets, money markets, and foreign exchange markets
- Experience with treasury, banking systems, and financial products & services technologies
Competencies
- Ability to manage multiple tasks and deadlines
- Excellent written, verbal communication, and interpersonal skills
- Motivation to seek developmental opportunities
- Flexibility to adapt to changing priorities and deadlines
- Professional standards of conduct and objectivity in performing duties