First Tennessee Bank Financial Analyst in Memphis, Tennessee

Description Description

  • Supports Treasury & Funds Management department in the governance of company-wide interest rate risk, capital, and liquidity. Requires strong analytical and communication skills. Duties & Responsibilities

  • Liquidity Management:

  • Conduct scenario analysis on the company’s liquidity position to ensure the bank has sufficient funding to meet business needs, as well as a strong contingency funding plan

  • Explore options to more efficiently utilize existing funding sources, as well as researching options to expand into new sources of liquidity

  • Produce reporting for the executive team that clearly articulates current trends, profitability impacts, risks, and proposed strategies

  • Develop relationships with the line of business leaders to ensure a sound understanding of business strategies and related funding requirements, including associated risks

  • Understand regulatory requirements regarding liquidity risk, identify & assess gaps, and support initiatives to ensure gaps are addressed on a timely basis

  • Portfolio Management:

  • Assist in managing the $5.0 billion investment securities portfolio

  • Coordinate with portfolio advisory to purchase bonds in accordance with the portfolio strategy that best supports the company’s overall balance sheet management goals

  • Coordinate with portfolio advisory to purchase bonds to support the portfolio strategy

  • Monitor the $750 million bank owned life insurance (BOLI) portfolio

  • Other Responsibilities:

  • Support company-wide capital management including stress testing, forecasting, debt/capital issuances, share repurchases, and the production of investor presentations

  • Assist in acquisition analysis and merger integration projects

  • Provide support to commercial relationship managers and treasury management sales officers in the risk-adjusted pricing of loans and deposits

Requirements Requirements

  • Bachelor’s Degree; MBA or CFA preferred

  • Knowledge or interest in banking industry, with 1-3 years of financial analysis experience

  • Ability to communicate clearly and concisely, both orally and in writing

  • Must be open to feedback and new ideas

  • Skill with generating financial reports and presentations; ability to balance multiple priorities and meet deadlines

  • Must be proactive, deadline oriented, analytical, and have strong work ethic

  • Proficient with Microsoft Office; experience with VBA, Powerpivot, or SQL beneficial

DISCLAIMER: The above statements are intended to describe the general nature and level of work being performed by people assigned to this job. They are not intended to be an exhaustive list of all responsibilities, duties, and skills required of personnel so classified.


Requisition Number: 18-0730

Post Date: 4/6/2018

Title: Financial Analyst

Part Time?: No

City: Memphis

State: TN