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Connexus Credit Union

Treasury Analyst

Posted 16 Days Ago
Remote
Hiring Remotely in USA
Mid level
Remote
Hiring Remotely in USA
Mid level
The Treasury Analyst manages liquidity, investments, and asset liability operations, ensuring compliance and providing analysis for decision-making. Strong analytical skills are crucial.
The summary above was generated by AI

Connexus Credit Union - Who We Are:

Serving members across all 50 states, Connexus Credit Union is a member-focused cooperative that is proud to return profits to member-owners through high yields for checking accounts and deposit products, as well as competitive rates on our loans. We are a remote first employer with the majority of our employees residing in the upper Midwest.

As an employer we foster collaboration and high performance to achieve excellence. We holistically care for and develop our employees to thrive personally and professionally. We are proud to share our success with our employees and those we serve.

Connexus offers an Amazing Benefits package:

  • 25 days of paid time off and 10 paid holidays
  • 16 hours of paid Volunteer Time Off
  • 401K Retirement with up to 6% employer match
  • Excellent Health, Dental, Vision insurance, including multiple plan options
  • Health Savings Account with generous employer contributions
  • Employer paid Life insurance, Short-Term and Long-Term Disability
  • Tuition Reimbursement from $4,000 - $7,000 per calendar year
  • Robust Learning and Development program that includes an annual professional development stipend

About the Role:

The Treasury Analyst supports daily liquidity management, investment operations, and asset liability management for the credit union. This role prepares ALM reporting, maintains collateral and funding sources, and administers investment settlements, safekeeping, and related accounting activities. The position provides analysis and reporting to help leadership make sound balance sheet and risk management decisions. Strong analytical skills and attention to detail are essential for success.

Responsibilities:

Liquidity & Cash Management

  • Monitor daily cash positions and short-term liquidity requirements.
  • Analyze cash flow forecasts and recommend optimal liquidity strategies.
  • Ensure sufficient funding availability to support operations, lending activities, and strategic initiatives.

Investments & Portfolio Administration

  • Execute and monitor investment transactions within board-approved policies alongside VP Finance / CFO.
  • Coordinate investment settlements, safekeeping instructions, and custodial functions.
  • Track call dates, maturities, and other critical investment events to support reinvestment strategies.
  • Prepare performance and risk analysis on the investment portfolio.

Borrowings & Collateral Management

  • Manage existing borrowing facilities and evaluate alternative funding sources (FHLB, lines of credit, etc).
  • Maintain pledged collateral records to maximize borrowing capacity.
  • Perform periodic collateral updates, valuations, and reporting to support credit line availability.
  • Monitor collateral exceptions and coordinate with lending and operations teams to resolve discrepancies.

Asset Liability Management

  • Prepare quarterly ALM file inputs, validate data sources, and reconcile key assumptions prior to model runs.
  • Maintain ALM modeling assumptions including deposit pricing betas, prepayment speeds, and balance forecasts.
  • Assist in preparing and analyzing ALM models, including interest rate risk simulations and net economic value analysis.
  • Generate monthly and quarterly ALM, liquidity, and investment reports for management, ALCO, and the Board.
  • Support the development and enhancement of models, assumptions, and scenario stress testing.

Risk, Reporting & Compliance

  • Ensure compliance with internal policies, regulatory requirements, and NCUA guidance.
  • Maintain accurate treasury-related documentation and reporting.
  • Support audit and regulatory examination requests.
  • Comply with all Federal Regulations as they pertain to your job duties, including BSA.
  • Performs other duties as assigned.

Position Requirements:

  • This position is Remote.
  • Bachelor’s degree or commensurate experience is Required.
  • 3+ years of experience as a treasury analyst, financial analyst, staff accountant, or in a related role is Required.
  • Prior experience working within a credit union or banking institution is Required.
  • Proficiency with Excel, Power BI and financial reporting tools is Required.
  • Strong analytical, quantitative, and financial modeling skills is Required.
  • Working knowledge of investment instruments, interest rate concepts, and balance sheet management is Required.

Connexus Credit Union's Employer Recognitions:

  • 2026 Best Place to Work in IT, Computer World

Equal Opportunity Employer/Disabled/Veterans/41 CFR 60–1.4, 41 CFR 60-1.35

Top Skills

Excel
Financial Reporting Tools
Power BI

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