Support funding and liquidity management function, including daily liquidity monitoring, reporting, operations, and potential trade execution.
Interpret data and perform data mining through applications and dashboards to obtain necessary data for management and regulatory reports.
Preparation of management presentations, including, but not limited to, DPWG, ALCO, Investment Committee.
Apply economic and financial knowledge to support daily management of Valley’s liquidity and funding responsibilities.
Research of industry benchmarks, economic indicators, banking trends, and regulatory trends for analysis of risk/opportunity. Results will support recommendations to management.
Perform analysis on internal, industry, and peer performance.
Collaborate with key Corporate Treasury functions, including Interest Rate Risk, Investment Management, Capital Management, and Hedging execution.
Provide Corporate Treasury support to Valley’s Lines of Business, including Retail Division, Commercial Division, Government Banking Segment, and Valley Direct.
The Analyst will participate in various ad-hoc initiatives that could provide exposure to other Valley divisions/departments, including Retail, Commercial, and Valley Digital.