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US Treasury and Federal Reserve Bank of St. Louis forecasting analysis

Provided analysis and assessment of the forecasting models and techniques used to forecast the US government’s operating cash balance (i.e., the Treasurer’s General Account (TGA) balance and funds in short-term investments) for the US Treasury and the Federal Reserve Bank of St. Louis. Following the assessment, developed predictive tools incorporating world-class forecasting methods and training for the Office of Fiscal Projections at the US Treasury and the St. Louis Federal Reserve Board.

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