Treasury Analyst
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I am a Corporate Treasury Analyst at Renasant Bank with a strong interest in mathematics and statistics. I work with financial data to maximize efficiency and forecast financial trends using programming languages like SQL and ALM software such as Empyrean.
-Lead full migration of the bank’s current-position data from legacy systems to a centralized SQL environment, ensuring accurate, auditable data for downstream reporting.
-Lead accounting reconciliation for the migration by developing automated SQL export/validation routines to verify formula parity and ensure no financial data loss.
-Conduct peer analysis using S&P Capital IQ to assess the bank’s positioning versus regional peers and the broader market, summarizing findings and recommendations for senior management.
-Run quarterly asset-liability modeling to evaluate interest-rate risk, liquidity, capital, and financial-statement forecasts; prepare and present detailed reports to committee members.
-Maintained and updated loan pricing and asset liability models to support financial decision-making.
-Developed proficiency in programming software while collaborating closely with supervisors on financial modeling tasks.
-Rebuilt proprietary reports using SQL, streamlining workflows and improving efficiency.
Bachelor of Arts in Mathematics: 3.7 GPA, Magna Cum Laude.