Financial Analyst
International Finance Corporation
- Location:
- Washington, DC, United States
- Grade:
- GE
- Category:
- Professional Staff
Posted Aug 13, 2026Apply by Aug 28, 2026 (4d left)
See your match score & applyThe Financial Analyst will support analytical, operational, and reporting activities related to Treasury Client Solutions and Asset and Liability Management. The position requires strong quantitative skills, attention to detail, sound judgment, and the ability to deliver high-quality work in a collaborative, multi-stakeholder environment.
Responsibilities
- Monitor, analyze, and reconcile currency and interest rate exposures across Treasury portfolios and transactions.
- Contribute to enhancements of asset and liability management processes, tools, controls, and analytical workflows.
- Prepare timely, accurate, and decision-useful analysis, reporting, and data outputs for Treasury and partner units.
- Support risk measurement and analytics for Treasury Client Solutions activities, including cross-currency and market risk analysis.
- Provide analytical and operational support for transaction execution, including trade setup, data validation, and process coordination.
Requirements
- Bachelor’s degree in finance, business, economics, engineering, mathematics, statistics, computer science, or a related technical field.
- Minimum of two years of relevant professional experience in treasury, capital markets, asset and liability management, derivatives, foreign exchange, market risk, or quantitative finance.
- Strong analytical and quantitative skills, with demonstrated ability to work with large data sets and financial or business databases.
- Proficiency in Excel and financial data analysis; experience with programming tools and market data platforms such as Bloomberg or Reuters is desirable.
- Knowledge of treasury systems, derivatives, local currency operations, or risk management processes is desirable.
- Excellent attention to detail, sound judgment, and ability to manage multiple priorities under tight deadlines.
- Strong written and oral communication skills in English; additional languages are an advantage.
Skills
- Financial Analysis
- Treasury Operations Oversight
- Capital Markets
- Asset-Liability Management
- Derivatives
- Foreign Exchange
- Market Risk
- Quantitative Finance
- Data Analysis
- Excel
- Bloomberg
- Reuters
- Programming
- Financial Databases
- Risk Management
- Local Currency Operations
Languages
English