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Financial Analyst - Treasury - 241286

at Wintrust Financial Corporation in Rosemont, Illinois, United States

Job Description

Wintrust is a financial holding company with approximately $50 billion assets under management and traded on the NASDAQ:WTFC. Built on the "HAVE IT ALL" model, Wintrust offers sophisticated technology and resources of a large bank while focusing on providing service-based community banking to each and every customer. Wintrust operates fifteen community bank subsidiaries with over 170 banking locations in the greater Chicago and southern Wisconsin market areas. Additionally, Wintrust operates various non-bank business units including commercial and life insurance premium financing, short-term accounts receivable financing, out-sourced administrative services, mortgage origination and purchase, wealth management services and qualified intermediary services for tax-deferred exchanges.

 

Why join us?

  • An award-winning culture! We are rated a Top Workplace by the Chicago Tribune (past 10 years) and Employee Recommended award by the Globe & Mail (past 6 years)
  • Competitive pay and discretionary or incentive bonus eligible
  • Comprehensive benefit package including medical, dental, vision, life, a 401k plan with a generous company match and tuition reimbursement to name a few
  • Family-friendly work hours
  • With 175+ community bank locations, we offer opportunities to grow and develop in your career
  • Promote from within culture

 

Why join this team?

  • We have a culture that encourages an entrepreneurial spirit
  • We offer multiple opportunities for development and upward mobility

 

Job Description Summary

 

The Financial Analyst - Treasury is responsible for tasks related to: financial reporting, detailed financial analysis, liquidity management, capital management, balance sheet forecasting and supporting businesses and business leadership in achieving financial goals.

 

What Youll Do

  • Support stakeholders with analysis and reporting of current and forecasted balance sheet, daily deposit changes, liquidity levels, capital levels, wholesale & brokered funding levels.
  • Analyze the impacts of business strategy with respect to regulatory capital management and liquidity management, including assisting with the execution & review of quarterly liquidity stress test and annual capital stress test
  • Generate and analyze affiliate and consolidated financial reporting to inform business leaders
  • Assist in the development of best practices including enhancements to existing software platforms utilized by the team for stress testing, reporting and analysis
  • Assist with adhoc projects as required in order to gain experience in the financial analysis being performed.

 

Knowledge/Skills/Background/Experience

  • 1-2 years related experience in Financial Industry preferred
  • Bachelor's degree in Finance preferred
  • Problem solver and attention to detail

 

Benefits

 

Medical Insurance Dental Vision Life insurance Accidental death and dismemberment Short-term and long term Disability Insurance Parental Leave Employee Assistance Program (EAP) Traditional and Roth 401(k) with company match Flexible Spending Account (FSA) Employee Stock Purchase Plan at 5% discount Critical Illness Insurance Accident Insurance Transportation and Commuting Benefits Banking Benefits Pet Insurance

 

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Equal Opportunity Employer - minorities/females/veterans/individuals with disabilities/sexual orientation/gender identity

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Job Posting: 12033989

Posted On: Jul 09, 2024

Updated On: Aug 08, 2024

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