Business Intelligence Analyst
Job Fit Check
Base Career helps you apply smarter for this job.
Key skills for this role
About the Role
Our client, a leading Canadian financial institution, is seeking a Senior Business Intelligence Analyst to join its Treasury and Balance Sheet Management team. You will produce monthly FTP reporting, analyze portfolio performance, and support strategic treasury initiatives.
Key Skills for This Role
Responsibilities
- Produce and maintain monthly FTP reporting and dashboards
- Analyze portfolio performance and explain key drivers of results
- Investigate reporting variances and identify root causes
- Prepare executive level reports and presentations
- Support forecast and actual performance analysis
- Monitor interest rate movements and report on impacts to business performance
- Enhance reporting processes, infrastructure, and analytical capabilities
- Collaborate with Finance and Treasury stakeholders to develop consistent reporting narratives
- Identify opportunities to improve data quality, reporting efficiency, and user experience
- Conduct ad hoc analysis and support strategic treasury initiatives
Requirements
- Post secondary degree in Finance, Economics, Mathematics, Statistics, Business, or related quantitative discipline
- 2 4 years of relevant experience in Finance, Treasury, Reporting, Business Intelligence, or Data Analytics
- Advanced Microsoft Excel skills
- Strong reporting and dashboard development experience
- Data analysis experience with large datasets
- Excellent communication and stakeholder management skills
- Strong attention to detail and problem solving abilities
- Finance and/or Treasury experience
Full Job Posting
About the Opportunity
- Our client, a leading Canadian financial institution, is seeking a Senior Business Intelligence Analyst to join its Treasury and Balance Sheet Management (TBSM) team.
- This is an excellent opportunity for a finance and analytics professional who wants to gain exposure to Funds Transfer Pricing (FTP), Treasury Management, Financial Reporting, and Balance Sheet Management.
Key Responsibilities
- Produce and maintain monthly FTP reporting and dashboards.
- Analyze portfolio performance and explain key drivers of results.
- Investigate reporting variances and identify root causes.
- Prepare executive level reports and presentations.
- Support forecast and actual performance analysis.
- Monitor interest rate movements and report on impacts to business performance.
- Enhance reporting processes, infrastructure, and analytical capabilities.
- Collaborate with Finance and Treasury stakeholders to develop consistent reporting narratives.
- Identify opportunities to improve data quality, reporting efficiency, and user experience.
- Conduct ad hoc analysis and support strategic treasury initiatives.
Required Qualifications
- Post secondary degree in Finance, Economics, Mathematics, Statistics, Business, or another related quantitative discipline.
- 2–4 years of relevant experience in Finance, Treasury, Reporting, Business Intelligence, or Data Analytics.
- Experience producing recurring financial or operational reports.
- Exposure to treasury functions, banking, finance, or financial services environments.
Must Have Skills
- Advanced Microsoft Excel skills.
- Strong reporting and dashboard development experience.
- Data analysis experience with large datasets.
- Excellent communication and stakeholder management skills.
- Strong attention to detail and problem solving abilities.
- Demonstrated ability to meet deadlines and manage multiple priorities.
- Strong work ethic and ownership mindset.
- Finance and/or Treasury experience.
Nice to Have Skills
- Tableau experience.
- Power BI experience.
- SQL knowledge and data extraction experience.
- Understanding of Funds Transfer Pricing (FTP).
- Knowledge of treasury risk management, liquidity, capital management, or interest rate risk.
- CFA designation (or progress toward CFA).
- Master's degree in a related field.
Why Apply?
- Gain exposure to Treasury and Funds Transfer Pricing (FTP).
- Work with senior Finance and Treasury stakeholders.
- Develop expertise in financial reporting and analytics.
- Join a collaborative, learning focused team environment.
- Opportunity to work on meaningful, high impact reporting initiatives.
Schedule
- Monday Friday, 9:00 AM – 5:00 PM (37.5 hours/week).
- Hybrid (4 days onsite, 1 day remote).
Pay Rate
- CAD 34/hour.
Interview Process
- Two rounds of interviews.
- Both interviews will be conducted in person.
Apply for this job in 1 click
Skip the repetitive application forms
Install the Base Career Chrome Extension and autofill job applications across major job boards with your profile.
Trusted by over 500,000 job seekers on Base Career
More from this employer
More jobs at Kelly
Business Analyst (Enterprise Platforms)
Toronto, CAN
Kelly is seeking an experienced Business Analyst to support a major Enterprise Real Estate Technology Modernization Program. You will analyze business processes, document requirements, and support platform modernization
Project Controls Analyst
Calgary, CAN
Kelly is seeking a Project Controls Coordinator to support capital project teams with cost control and procurement coordination. This 12-month contract role requires a bachelor's degree and 3+ years of experience support
Senior Wells Analyst
Calgary, CAN
Kelly is hiring a Contract Wells Analyst for a role in Calgary, AB, supporting regulatory compliance, well licensing, and reporting throughout the well lifecycle. The position requires 7-10 years of industry experience,