Candidates must be authorized to work in the United States without the need for current or future visa sponsorship. Summary of Position. The Corporate Treasury Analyst will support the Treasury Department in liquidity management and reporting, debt management, investment portfolio management, risk mitigation, and key accounting activities associated with Treasury transactions. In addition, this individual may be involved in other treasury related...
Overview. The Corporate Treasury Analyst operates the bank’s in-house asset-liability model to analyze interest rate risk, liquidity, capital, and financial statement forecasts. The Corporate Treasury Analyst will also develop and improve the department’s financial assumption modeling. . RENASANT BANK IS AN EQUAL OPPORTUNITY EMPLOYER. Responsibilities. Manage asset-liability model for quarterly interest rate risk, liquidity, capital, and financia...