Treasury ALM Financial Analyst at Soar Software Development Company
Riyadh, Riyadh Region, Saudi Arabia -
Full Time


Start Date

Immediate

Expiry Date

07 Feb, 26

Salary

0.0

Posted On

10 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Analysis, Liquidity Management, Risk Management, Financial Modeling, Excel Proficiency, Regulatory Compliance, Market Research, ALM Reporting, Stress Testing, Scenario Analysis, Funding Strategy, ALM Models, Treasury Systems, Data Visualization, Capital Markets, Funding Costs

Industry

Software Development

Description
About Us: Soar is a global fintech startup specializing in financing and investment. Headquartered in Saudi Arabia and expanding across the region, Soar provides innovative financial and property investment solutions through a multi-purpose platform designed for a seamless and simple user experience. Role Summary: Support the Asset & Liability Management function by analyzing balance sheet structure, monitoring liquidity and interest-rate risks, and contributing to funding strategy and regulatory compliance. Key Responsibilities: • Analyze balance sheet structure including liquidity gaps, repricing profiles, duration, and interest-rate sensitivity. • Prepare ALM and liquidity reports (LCR/NSFR, funding concentration, maturity ladder) ensuring compliance with internal policies and regulatory requirements. • Maintain ALM models and forecasting tools; perform stress testing, scenario analysis, and funding simulations. • Conduct market research related to funding costs, yield curves, benchmark rates, and pricing implications. • Support management and ALCO reporting through dashboards, insights, and presentations. Qualifications & Skills: • Bachelor’s degree in Finance, Economics, Accounting, or related field (CFA or Master’s preferred). • 5–8 years of experience in ALM, Treasury, Risk Management, or FP&A. • Strong analytical skills with proficiency in financial modeling and Excel. • Understanding of regulatory liquidity requirements (LCR, NSFR, Basel III) and balance sheet management. • Experience with ALM or Treasury systems (e.g., Murex, Moody’s RiskConfidence, QRM) is preferred. Desirable Skills: • Experience with BI/data visualization (Power BI, Tableau). • Familiarity with structured funding or capital markets instruments
Responsibilities
The role involves analyzing the balance sheet structure, monitoring liquidity and interest-rate risks, and contributing to funding strategy and regulatory compliance. Key tasks include preparing ALM and liquidity reports and maintaining ALM models and forecasting tools.
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