The Financial Analyst – Treasury Pricing & Return Optimization role sits within Corporate Treasury and supports the bank’s pricing, profitability, and return optimization work. This team is leading efforts to optimize balance sheet returns in partnership with business line product owners, Finance, Corporate Strategy and other key stakeholder groups across the organization. This role will help drive consistent and comprehensive measurement of returns across the organization. This includes understanding bank products and services, pricing, delivery costs, expense attribution and capital and liquidity requirements. This role will provide support to senior management to guide decisions on the deployment of balance sheet and capital in support of the Company’s business strategies.
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Job Type
Full-time
Career Level
Mid Level