Job descriptionJob Description FUNDING AND LIQUIDITY DATA ANALYST What is the opportunity? The Funding and Liquidity Data Analyst ensures the bank's funding, liquidity, and treasury teams have accurate, reliable data for decision-making. You will manage data sourcing across multiple systems, establish governance frameworks to maintain data quality, and resolve inconsistencies that could impact reporting or compliance. By bridging business needs and technical solutions, you'll help the organization optimize operations, reduce risk, and ensure regulatory requirements are met.
What will you do?
Identify, evaluate, and maintain an inventory of internal and external data sources that support funding and liquidity operations, including core banking systems, market feeds, and regulatory platforms
Conduct data mapping exercises and document how data flows from source systems through transformation layers to end-user reports, capturing business rules and transformation logic
Assess data quality, completeness, and timeliness across systems, identify data discrepancies, and develop remediation plans for gaps or inconsistencies
Gather business requirements from stakeholders and translate them into data specifications, preparing impact assessments on changes to data sources or definitions
Extract and analyze funding and liquidity data to identify trends, risks, and optimization opportunities, developing dashboards that help teams monitor key metrics in real time
Participate in testing and user acceptance activities, validating data accuracy and providing ongoing support to users in understanding data sources and quality considerations
What do you need to succeed? Must-have:
Bachelor's degree in business, finance, economics, data science, mathematics, computer science, or related field.
4–7 years of experience in data analysis, business analysis, or data engineering roles
Demonstrated proficiency with SQL for querying and analyzing relational databases
Strong experience with data sourcing, data mapping, and ETL processes
Proven ability to work with data governance frameworks and authoritative data source management
Nice-to-have:
Experience with funding, liquidity management, cash management, or treasury systems
Advanced SQL skills and experience with Python or similar scripting languages
Experience with data visualization tools such as Tableau or Power BI
Knowledge of regulatory requirements related to liquidity reporting and core banking platforms
What's in it for you?
A comprehensive Total Rewards Program including competitive compensation, bonuses, and flexible benefits
Leaders committed to your development through coaching and mentorship opportunities
The ability to make a direct impact on operational efficiency and risk management across the organization
A dynamic, collaborative, and high-performing team environment
Opportunities to develop expertise in a specialized area of banking operations and take on progressively greater responsibilities
Flexible work and life balance options
Job Skills Agile Methodology, Business Data Analysis, Business Process Modeling, Commercial Acumen, Communication, Critical Thinking, Decision Making, Group Problem Solving, Interpersonal Relationship Management, Requirements Analysis
Additional Job Details Address: RBC CENTRE, 155 WELLINGTON ST W:TORONTO
City: Toronto
Country: Canada
Work hours/week: 37.5
Employment Type: Full time
Platform: CAPITAL MARKETS
Job Type: Regular
Pay Type: Salaried
Posted Date: 2026-05-04
Application Deadline: 2026-06-26
Note: Applications will be accepted until 11:59 PM on the day prior to the application deadline date above
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