What are the responsibilities and job description for the Treasury Specialist position at Course?
HYBRID - (Tuesday, Wednesday and Thursday in the office)
Assignment through September 2025
- The candidate is expected to have a strong background in financial modeling (ideally in a large bank organization), which includes but is not limited to Internal Liquidity Stress Test (ILST), Capital Stress Test model, Cash flow projection models, Liquidity Buffer models etc.
- This role requires a deep understanding in Treasury products (unsecured funding, money market funds, secured financing, Securities lending / borrowing etc.)
- Prior experience in the bank regulatory submission is preferred
- Bachelor degree or higher; CFA or MBA preferred
- 5-10 years experience
- Proficiency in Excel based tools, VBA or equivalent
Skills : Education :
Skills and Experience
Skills : Education :
Additional
Languages :
English( Speak, Read, Write )
Minimum Degree Required :