• Financial Analyst - ALM

    Job Location US-TX-Dallas-Corporate Headquarters
    ID
    2018-3612
    Location: Address
    2000 McKinney Ave
    Category
    Accounting/Auditing/Finance
  • Overview

    At Texas Capital Bank, we are driven by a single-minded and unwavering mission: to serve business and the individuals who run them. We use a consultative approach and innovative technologies to develop new ideas that give the bank and our clients a competitive advantage. We partner with our customers to push the boundaries of what’s possible—together.

    Headquartered in Dallas, Texas Capital Bank has offices in Austin, Fort Worth, Houston, Richardson, Plano and San Antonio, and we serve clients in a variety of industries from coast-to-coast.

    We are on the Forbes Best Banks in America list, and were named a top place to work by The Dallas Morning News, Houston Chronicle and San Antonio Express-News. For further information, please visit us at www.texascapitalbank.com.

     

    The ALM team supports the Risk Management, Funds Management, Capital Management, and Strategic Planning functions of the Bank.  The ALM Financial Analyst will assist in driving enhanced balance sheet analytics by partnering with multiple business units to develop assumptions and/or reporting that will feed the Bank’s Asset Liability Model.  The Analyst will also work closely with the Funds Management team to assist with reporting and funding models.

    Responsibilities

    • Assist with monthly and quarterly reporting requirements including Interest Rate Risk Sensitivity, Balance Sheet Analytics, Margin Analysis, Funds Transfer Pricing, and Forecasting
    • Play an integral role in the implementation, configuration, testing, and ongoing maintenance of the Bank’s Asset Liability Management system
    • Develop and maintain relevant analyses to support Bank initiatives, strategic planning, and regulatory reporting
    • Collaborate with Funds Management to enhance liquidity modeling and analysis
    • Work closely with Treasury & Liquidity on strategies related to bank funding

    Qualifications

    • Bachelor’s Degree required, Master’s Degree preferred
    • 2+ years’ experience in Banking with focus on Finance, Treasury, and/or Funds Management preferred
    • Strong analytical problem solving skills, with ability to produce data-driven analysis using various technology tool suites
    • Knowledge of Bank Asset Liability Management systems (particularly Empyrean)
    • Understanding of Interest Rate Risk, Funds Management, and Funds Transfer Pricing principles
    • Strong verbal and written communication skills supporting the ability to communicate effectively to all levels of the organization
    • Demonstrated excellent administrative, interpersonal and forward-thinking organizational skills
    • Cooperative team player on a diverse work team who is professional, confident, and enthusiastic
    • Demonstrate initiative and be a self-starter

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