

Insight Global
Liquidity Analyst
⭐ - Featured Role | Apply direct with Data Freelance Hub
This role is for a Liquidity Analyst in Charlotte, NC, with a contract length of "Unknown" and a pay rate of "Unknown." Key skills include banking/finance experience, Excel proficiency, and 1-4 years in data analytics. Treasury/liquidity experience is a plus.
🌎 - Country
United States
💱 - Currency
$ USD
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💰 - Day rate
Unknown
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🗓️ - Date
January 7, 2026
🕒 - Duration
Unknown
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🏝️ - Location
On-site
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📄 - Contract
Unknown
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🔒 - Security
Unknown
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📍 - Location detailed
Charlotte Metro
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🧠 - Skills detailed
#Tableau #Data Quality #Data Analysis #Scala #Pivot Tables #Documentation #Monitoring #Project Management #SQL (Structured Query Language) #Alation #System Testing
Role description
Day to Day:
• Insight Global is looking for a Financial Data Analyst for a large financial services client in the Charlotte, NC area. This role is going to be working in the Global Liquidity Management group, and working heavily with data needed for regulatory reporting. The main three reports this individual will be working with is the 2052A, LCR (Liquidity Coverage Ratio), and NSFR (Net Stable Funding Ratio). This person needs to be skilled in both Excel and needs to be interested in working with large sets of data to provide update and communicate with other lines of business within the bank. This individual will be presenting to upper management on errors within their data. This person will be starting in their data quality space, move into a validation role, followed by more a role with heavy reporting and communication with business leaders. This team is referred to as their Production Team, and this person will rotate between these groups on a weekly basis. The Analyst will be responsible for:
• Daily/weekly/monthly reporting of liquidity metrics (regulatory and internal), including analysis and investigation of moves
• Liaising with internal colleagues, 2nd and 3rd line defense teams to streamline reporting and ensure resolution of issues
• Project Work – involving a wide scope of possibilities but mainly focused on improved design and control within existing reporting routines
• Perform reporting, monitoring, and analytics in relation to liquidity submissions
• Understand liquidity reporting rules and data requirements
• Enhance processes to streamline reporting and build out additional analytical capabilities
• Perform system testing and understand impacts to end to end liquidity process
• Ensure documentation and reporting controls are up to date, managing operational risk in the process
• Work on ad-hoc projects for senior management or regulators
Must Haves:
• Banking/Finance experience
• Excel skills (Pivot Tables, VLOOKUPS)
• 1-4 years of experience in data/business analytics/project management
• Presentation skills
Plusses
• Tableau
• SQL
• Treasury/Liquidity experience
• 2052 A reporting (liquidity reporting) experience
• Capital Markets experience
• Escalation experience (escalating a problem to upper management that ended up being resolved)
Day to Day:
• Insight Global is looking for a Financial Data Analyst for a large financial services client in the Charlotte, NC area. This role is going to be working in the Global Liquidity Management group, and working heavily with data needed for regulatory reporting. The main three reports this individual will be working with is the 2052A, LCR (Liquidity Coverage Ratio), and NSFR (Net Stable Funding Ratio). This person needs to be skilled in both Excel and needs to be interested in working with large sets of data to provide update and communicate with other lines of business within the bank. This individual will be presenting to upper management on errors within their data. This person will be starting in their data quality space, move into a validation role, followed by more a role with heavy reporting and communication with business leaders. This team is referred to as their Production Team, and this person will rotate between these groups on a weekly basis. The Analyst will be responsible for:
• Daily/weekly/monthly reporting of liquidity metrics (regulatory and internal), including analysis and investigation of moves
• Liaising with internal colleagues, 2nd and 3rd line defense teams to streamline reporting and ensure resolution of issues
• Project Work – involving a wide scope of possibilities but mainly focused on improved design and control within existing reporting routines
• Perform reporting, monitoring, and analytics in relation to liquidity submissions
• Understand liquidity reporting rules and data requirements
• Enhance processes to streamline reporting and build out additional analytical capabilities
• Perform system testing and understand impacts to end to end liquidity process
• Ensure documentation and reporting controls are up to date, managing operational risk in the process
• Work on ad-hoc projects for senior management or regulators
Must Haves:
• Banking/Finance experience
• Excel skills (Pivot Tables, VLOOKUPS)
• 1-4 years of experience in data/business analytics/project management
• Presentation skills
Plusses
• Tableau
• SQL
• Treasury/Liquidity experience
• 2052 A reporting (liquidity reporting) experience
• Capital Markets experience
• Escalation experience (escalating a problem to upper management that ended up being resolved)






