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Job Opportunity

Sr. Analyst, Treasury

Sr. Analyst, Treasury-1901040


The Sr. Analyst, Treasury supports the day-to-day operations in Liquidity Risk. The incumbent provides senior analysis in support of operations.
  • Communicate effectively with internal stakeholders.
  • Day-to-day execution of operations in liquidity risk
  • Ensure adherence to established standards, risk limits, and the regulatory requirements introduced with Enhanced Prudential Standards
  • Ensures treasury policies, practices and procedures are understood, followed, and updated according to internal governance requirements
  • Perform variance, reconciliation and forecasting analysis of key financial data and liquidity stress testing
  • Validate the accuracy of internal reporting of financial and operational data.


  • Bachelor's Degree; Finance, Economics, Business or equivalent field.
  • 3-5 years’ experience.
  • Financial planning, analysis or related experience.
  • Ability to convey a sense of urgency and drive.
  • Ability to work well within a team, prioritize tasks and handle numerous assignments simultaneously.
  • Advanced in MS Word, MIS Excel, QRM, MS Outlook.
  • Detail oriented with ability to research, organize and analyze financial data.
  • Excellent analytical, organizational and project management skills.
  • Experience in Asset-Liability Management, Liquidity Risk Management, or Cash Management.
  • Strong interpersonal, supervisory, and customer service skills required.
  • Strong project management skills.
  • Strong verbal and written communication skills in interacting with internal stakeholders.
  • Adapts quickly to change and makes suggestions for increasing the effectiveness of change.
  • Appropriately shifts attention and refocuses on new goals as a result of changes in priorities or competing work demands.
  • Creates a good working environment in the team; works towards shared goals contributing ideas and accepting change.
  • Provides assistance and coaches less experienced team members.
  • Executes risk management process and procedures without management direction, and demonstrates awareness of expected results.
  • Knows the relationship and impact of actions and results.
  • Has an understanding of regulations impacting area supported.
  • Follows through to meet commitments to others.
  • Takes responsibility for achieving strong results, despite balancing multiple complex demands.
  • Organizes and prioritizes workload and tasks for oneself and team members.
  • Actively plans ahead for routine and cyclical work.
  • Sees through complexity and detail to get to the critical issues at hand.
  • Takes into account the wider context within which problems exist.
  • Stays current with industry and regulatory trends and emerging risk issues.
  • Has good understanding of current market and competitive landscape that the organization operates within.
  • Understands specific financial and accounting standards to identify and assess the impact and likelihood of operational risks.



Primary Location

:Massachusetts-Boston-75 State Street - HOME - Home Location


:Chief Financial Officer (8455)



Job Posting

:Feb 19, 2019, 7:02:26 PM


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