The Treasury Risk Analyst II plays a critical role in supporting the investment portfolio, liquidity management, product pricing, and overall balance sheet strategy for the Credit Union. This position is responsible for delivering timely, reliable analysis and reporting that informs key decisions related to interest rate risk, funding strategy, and profitability. Working closely with treasury leadership, the analyst evaluates the investment portfolio, credit-sensitive exposures, and counterparties, and actively contributes to the Asset Liability Management (ALM) process to strengthen the organization’s liquidity framework. Through in-depth analysis, modeling, and visualization, the Investment Analyst translates complex financial data into actionable insights used in pricing decisions, strategic planning, and risk management discussions at the ALCO level. This role collaborates with internal partners and external vendors to apply industry best practices and drive sound balance sheet outcomes, offering meaningful visibility, professional growth, and direct influence on the Credit Union’s financial strategy.
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Job Type
Full-time
Career Level
Mid Level