Sr Financial Analyst

Willmar Lakes Area Chamber of Commerce

Willmar (MN)

On-site

USD 105,000 - 125,000

Full time

9 days ago

Get more replies from employers

Send a job-specific resume in minutes.

Benefits offered by this job

Paid time off
Paid holidays
Volunteer days
401(k)
ESOP retirement plans
Medical, dental, and vision insurance

Job summary

Heritage Bank NA in Minnesota seeks a Sr. Financial Analyst to drive liquidity, funding, and balance sheet performance. You will own liquidity strategies, funding execution, and ALM activities, partnering with finance leadership to align treasury with strategic objectives.

You will also support capital markets, loan pricing, and reporting, providing expert analysis to guide executive decisions on liquidity, margin, and capital planning. Strong analytical skills required.

Qualifications

  • Bachelor's degree in Accounting, Finance, or Business required.
  • 5–7 years in treasury, finance, or banking analytics preferred.
  • Experience with liquidity management, funding strategies, and balance sheet dynamics.

Responsibilities

  • Lead liquidity management and funding operations, owning liquidity strategy.
  • Support ALCO processes and interest rate risk modeling.
  • Analyze deposit trends, funding costs, and margin optimization.
  • Collaborate on capital markets activities including loan pricing and secondary market execution.
  • Provide reporting, variance analysis, and regulatory-facing documentation.

Skills

Liquidity management
Funding strategies
ALM (Asset-Liability Management)
Financial analysis

Education

Bachelor's degree in Accounting, Finance, or Business
MBA is a plus

Tools

CSI
Plansmith
Microsoft Excel
Financial modeling

Job description

Drive the financial strategy behind a growing community bank. Join Heritage Bank NA as our Sr. Financial Analyst and play a key role in shaping liquidity, funding, balance sheet performance, and long-term financial success. This position is hiring for candidates in Minnesota.

Position Summary

Leads the bank's liquidity management and funding operations, serving as the primary owner of liquidity strategy, funding execution, and asset-liability management (ALM) activities. Oversees daily liquidity positioning, develops and maintains funding strategies, and ensures compliance with internal policy limits and regulatory expectations. Partners closely with finance leadership and the ALCO to align treasury activities with the bank's financial performance and strategic objectives. Provides expert analysis, reporting, and recommendations to support executive decision-making related to liquidity, margin, capital, and interest rate.

In addition, supports and works closely with capital markets activities including loan pricing, secondary market execution, and pipeline management.

Treasury & Liquidity Management
  • Monitor daily liquidity position and ensure compliance with internal policy limits
  • Manage funding sources, including core deposits, brokered deposits, FHLB advances, and fed funds lines
  • Prepare liquidity forecasts and perform stress testing to support planning and regulatory expectations
  • Maintain and periodically test the Contingency Funding Plan (CFP)
Asset-Liability Management (ALM)
  • Support ALCO process, including preparation of reporting and analysis
  • Assist with interest rate risk modeling (NII and EVE simulations)
  • Analyze deposit trends, loan growth, and cost of funds
  • Provide insights to support balance sheet strategy and margin optimization
Finance & Reporting Support
  • Support month-end and quarter-end processes through balance sheet and funding-related analysis
  • Assist in financial reporting by providing insight into liquidity, funding costs, and interest income/expense drivers
  • Perform variance analysis and support internal management reporting
  • Assist with audit requests and regulatory examinations related to treasury and balance sheet
Investment Portfolio and Capital Markets Support
  • Assist in monitoring the securities portfolio, including cash flows, duration, and performance
  • Support investment activity tracking and alignment with accounting records
  • Ensure compliance with investment policy guidelines
  • Coordinates with capital markets on hedging strategies and best execution analysis for loan sales.
  • Provides analytical support for gain-on-sale margin tracking and investor reporting.
Capital & Strategic Support
  • Support capital planning and forecasting activities
  • Evaluate funding strategies in relation to loan growth and new initiatives
  • Assist with stress testing tied to capital and liquidity
Process Improvement & Controls
  • Identifies opportunities to improve efficiencies and optimize processes across finance and accounting.
  • Maintain strong internal controls and documentation
  • Support automation and reporting enhancements in partnership with IT/data teams
Bank Standards
  • Mission – Helping People Succeed Financially
  • Ethics – We always do the right thing at work and in our personal lives.
  • Solution – We bring solutions to challenges and are always looking for ways to be better.
  • Ownership – We are accountable in our roles and accept responsibility for our mistakes.
  • Positivity – We bring positive energy and enthusiasm to everything we do.
Compensation & Benefits

Get ready to be rewarded! This position provides an annual salary range of $105,000 - $125,000. Full-time team members enjoy a comprehensive benefits package including paid time off, paid holidays, and even paid volunteer days. Your health is covered with medical, dental, and vision insurance, plus plan for your future with our 401(k) and ESOP retirement plans. Enjoy additional benefits and incentives consistent with our company policy. Join us and discover how rewarding your career can be!

Disclaimer

The statements contained in this job description describe the general nature and level of work being performed by the person accepting this role. “Secondary Duties and Responsibilities” are considered incidental or secondary to the overall purpose of the job. This job description does not state or imply the only duties and responsibilities assigned to this job. Employees holding this job will be required to perform any other job-related duties requested by management. All job requirements are subject to possible modification to reasonably accommodate individuals with a disability.

We are an Equal Opportunity Employer and value diversity at all levels of the organization.

Education
  • Bachelor’s degree in Accounting, Finance, Business, or equivalent experience.
  • MBA is a plus
Experience
  • 5 –7 years of experience in treasury, finance, or banking analytics
  • Community or regional banking experience preferred
  • Demonstrated understanding of liquidity management, funding strategies, and balance sheet dynamics
Other Skills / Characteristics
  • Strong understanding of bank financial statements and net interest income drivers
  • Strong analytical and problem-solving skills with attention to detail
  • Experience with CSI, Plansmith, and other financial platforms
  • Strong knowledge of Microsoft Excel and financial modeling
  • Ability to communicate effectively, both written and verbal
  • Strong time management and organizational skills; ability to manage multiple priorities
  • Working knowledge of regulatory expectations related to liquidity and interest rate risk
  • Collaborative mindset with ability to operate effectively in a lean environment
Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Sr Financial Analyst
Sr Financial Analyst

Heritage Bank NA • United States

On-site
USD 105,000 - 125,000
Medical, dental, and vision insurance
401(k) and ESOP retirement plans
Paid time off and holidays
+1
Sr. Financial Analyst - REMOTE
Sr. Financial Analyst - REMOTE

Minnesota Bankers Association • Mission (KS)

Remote
USD 105,000 - 125,000
Health benefits
ESOP
Paid time off
+1
Senior Treasury & Liquidity Analyst
Senior Treasury & Liquidity Analyst

Willmar Lakes Area Chamber of Commerce • Willmar (MN)

On-site
USD 105,000 - 125,000
Paid time off
Paid holidays
Volunteer days
+3
Remote Sr. Financial Analyst: Liquidity & ALM Strategist
Remote Sr. Financial Analyst: Liquidity & ALM Strategist

Minnesota Bankers Association • Mission (KS)

Remote
USD 105,000 - 125,000
Health benefits
ESOP
Paid time off
+1
Strategic Treasury & Liquidity Analyst
Strategic Treasury & Liquidity Analyst

Heritage Bank NA • United States

On-site
USD 105,000 - 125,000
Medical, dental, and vision insurance
401(k) and ESOP retirement plans
Paid time off and holidays
+1
Shared Services Manager
Shared Services Manager

Heritage Bank NA • Willmar (MN)

On-site
USD 48,000 - 74,000
Financial Analyst
Financial Analyst

Extraco Banks, N.A. • Waco (TX)

On-site
USD 75,000 - 95,000
Opportunity for professional growth
Collaborative work environment
Exposure to high-impact financial initiatives
Teller
Teller

Heritage Bank • Willmar (MN)

On-site
Liquidity Analyst II
Liquidity Analyst II

Old National Bank • Chicago (IL)

On-site
USD 62,000 - 123,000
Medical Insurance
Dental Insurance
Vision Insurance
+4
Relationship Banking Team Leader
Relationship Banking Team Leader

Heritage Bank NW • Seattle (WA)

On-site
USD 126,546 - 189,819
Medical, Dental, Vision Insurance
Life Insurance
401(k)
+4