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Iconic Australian Bank in Sydney is seeking a data/treasury analyst to support liquidity and regulatory reporting within Group Treasury. The role focuses on daily operations and contributing to a major data initiative.
You will manage liquidity data processes, ensure data accuracy and controls, investigate issues, support testing, and drive operational improvements through collaboration with a dynamic team.
Working with an iconic Australian Bank this is an exciting role focusing on the daily operations whilst also being involved as a BA doe a large data related project. This is a hybrid role working in a dynamic team that will help you progress your career.
Based in the CBD and reporting to the Senior Manager for Data you will
Support liquidity and regulatory reporting within Group Treasury function
Manage the daily and monthly liquidity data processes
Ensuring data accuracy and controls, investigating issues, supporting testing activities
Drive operational improvements
2-6 years' experience in Treasury, liquidity, capital, risk, or financial reporting
Experience as a Data Analyst, Business Analyst, Reporting Analyst, or Treasury Operations professional
Strong data analysis and process improvement skills
Detail-oriented with a strong controls mindset