Produces a high level of accurate and insightful analysis and financial reporting; melding hindsight, insight and foresight in connection with Treasury-related operations for Bank and Parent. This includes interest rate and market risk management, the investment portfolio, short-term and long-term liquidity management, net interest margin review and forecasting, funds transfer pricing, off-balance sheet (swap and hedging) activity, corporate insurance and captive insurance, the deposit and consumer loan rate setting process for the Company. Assist Senior Management in completing special projects, in managing correspondent relationships, in performing ongoing analysis, in providing proactive consulting to Business Partners and in leading or serving on Committees that help the Company meet and exceed its Strategic Plan objectives.
KEY RESPONSIBILITIES
Job Requirements
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