Analyst, Liquidity Strategy

Raymond James

Town of Florida (NY)

Hybrid

USD 75,000 - 110,000

Full time

5 days ago
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Benefits offered by this job

Hybrid work
Comprehensive benefits
Paid time off

Job summary

Raymond James is seeking an Analyst in Liquidity Strategy in Saint Petersburg, FL, to support liquidity reporting, analytics, governance, and contingency planning. The role emphasizes collaboration across Treasury, Finance, Risk, and business units while contributing to regulatory compliance and ongoing process improvements.

The position requires a blend of financial analysis, model development, and clear communication for senior leadership and governance committees, in a hybrid work environment.

Qualifications

  • Bachelor’s degree in Business Administration or related field with Finance focus.
  • Experience with analytical methods, forecasting, and variance analysis.
  • Experience with R/Python or similar statistical tools is a plus.

Responsibilities

  • Support liquidity reporting, analysis, and governance activities, including management reporting, committee materials, and monitoring.
  • Assist sizing, funding capacity assessments, and playbook documentation for CFP actions.
  • Contribute to execution and enhancement of ILST, including data collection, model production, and results analysis.
  • Prepare recurring management reports, dashboards, and presentations for senior leadership, ALCO, Liquidity Working Group, and the Board.
  • Support Liquidity Working Group administration, including agenda maintenance, reporting, and action items.
  • Monitor regulatory guidance related to liquidity risk management and update processes accordingly.

Skills

Financial analysis
Forecasting
Variance analysis
Excel modeling
Communication
Stakeholder management

Education

Bachelor’s degree in Business Administration
Finance major

Tools

R
Python
Microsoft Excel
PowerPoint

Job description

## Analyst, Liquidity StrategyApply: Saint Petersburg, Florida - United States: Full time: Posted Today: R-0013209**Job Description Summary**Under general supervision, uses knowledge and skills obtained through education and/or experience to support the firm's Liquidity Strategy & Planning function, with a primary focus on liquidity reporting, analysis, and governance. This role supports liquidity reporting and analytics, management committee reporting, maintenance of the firm’s liquidity policy and Contingency Funding Plan (CFP), and the execution and enhancement of the firm’s Internal Liquidity Stress Testing (ILST).**Job Description****Essential Duties and Responsibilities:*** Support liquidity reporting, analysis, and governance activities, including management reporting, committee materials, and monitoring.* Support the ongoing sizing, analysis, and operational readiness testing of CFP actions, including funding capacity assessments and playbook documentation.* Assist with the execution, maintenance, and ongoing enhancement of the firm's ILST, including data collection, assumption calibration, model production, and results analysis.* Prepare recurring management reports, dashboards, and presentations for senior leadership, RJF Asset Liability Committee (ALCO), Liquidity Working Group, the Board of Directors, and other governance committees.* Support Liquidity Working Group administration, including agenda maintenance, reporting, and action items.* Monitor evolving regulatory guidance related to liquidity risk management and recommend updates to liquidity processes, policies, and documentation.* Partner with stakeholders across Treasury, Finance, Risk, and business units to gather information, resolve issues, and support liquidity governance processes.* Identify opportunities to enhance reporting, documentation, controls, and operational efficiency.* Support strategic initiatives related to liquidity risk management.* Support the annual review, maintenance, and enhancement of liquidity-related policies, standards, procedures, and governance documentation to ensure alignment with enterprise policies and regulatory expectations.* Perform other duties and responsibilities as assigned. **Knowledge of:*** Fundamental financial concepts including cash flows, financial statements, interest rates, and the time value of money.* Basic principles of financial analysis, forecasting, and variance analysis.* Quantitative and statistical concepts used to analyze financial data and identify trends.* Financial markets and balance sheet management concepts.* Microsoft Office applications, particularly Excel and PowerPoint. **Ability to:*** Coordinate multiple liquidity initiatives while managing competing priorities and deadlines.* Draft clear, concise, and professional committee materials, policies, and management reports.* Analyze financial and operational information to identify trends, risks, and process improvements.* Interpret policies, regulatory guidance, and governance requirements and communicate recommendations effectively.* Build strong working relationships across multiple business units and organizational levels.* Recommend process improvements that strengthen governance and operational effectiveness.* Exercise sound judgment when handling confidential and sensitive information.* Use Excel for financial modeling, data manipulation, and creating financial forecasts.* Communicate effectively, both orally and in writing, with all organizational levels, including senior leaders.* Prioritize and meet critical deadlines. **Education/Previous Experience:*** Bachelor’s degree (B.A.) in Business Administration, preferably with a major in Finance or a related field.* ~OR~* Any equivalent combination of experience, education, and/or training approved by Human Resources.* Experience with R, Python, or another statistical modeling program is a plus.**Education**Bachelor’s: Accounting, Bachelor’s: Business Administration, Bachelor’s: Finance**Work Experience**General Experience - 7 to 12 months**Certifications**Certified Public Accountant (CPA) - Boards of Accountancy (NASBA)**Travel**Less than 25%**Workstyle**HybridThe total compensation for this position includes base salary or wages, and may include components such as additional compensation (cash or equity), discretionary bonuses, or commissions. This position is eligible for a benefits package that may include medical, dental, and vision; life insurance; critical illness insurance and accident insurance; disability benefits; retirement savings; paid time off (including vacation, holidays, and sick leave); and parental leave. Eligibility for benefits and specific offerings may vary based on position and employment status. To view more details of the benefits offered, visit Myrjbenefits.com.At Raymond James our associates use five guiding behaviors (Develop, Collaborate, Decide, Deliver, Improve) to deliver on the firm's core values of client-first, integrity, independence and a conservative, long-term view. We expect our associates at all levels to: • Grow professionally and inspire others to do the same • Work with and through others to achieve desired outcomes • Make prompt, pragmatic choices and act with the client in mind • Take ownership and hold themselves and others accountable for delivering results that matter • Contribute to the continuous evolution of the firmAt Raymond James – as part of our people-first culture, we honor, value, and respect the uniqueness, experiences, and backgrounds of all of our Associates. When associates bring their best authentic selves, our organization, clients, and communities thrive. The Company is an equal opportunity employer and makes all employment decisions on the basis of merit and business needs.
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