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Sr. Financial Analyst - Global Markets CCAR & RRP

In United States

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Sr. Financial Analyst - Global Markets CCAR & RRP   

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JOB TITLE:

Sr. Financial Analyst - Global Markets CCAR & RRP

JOB TYPE:

JOB SKILLS:

JOB LOCATION:

Charlotte, NC United States

JOB DESCRIPTION:

Our Client commitment to Diversity and Inclusion statement We're a culture that: • Believes in responsible growth and has a proven dedication to supporting the communities we serve. • Provides continuous training and developmental opportunities to help people achieve their goals, whatever their background or experience. • Believes diversity makes us stronger, so we can reflect, connect to and meet the diverse needs of our clients and customers around the world. • Is committed to advancing our tools, technology and ways of working. We always put our clients first to meet their evolving needs The Chief Financial Officer (CFO) Group is responsible for the overall financial management of our company. This includes accounting, financial and regulatory reporting, balance sheet management, financial planning and analysis, treasury, investor relations, corporate investments and tax Global Banking and Markets Finance strives to be a valued business partner to the company's trading, corporate and institutional banking businesses. Our first priority is to operate a series of key control processes to ensure the integrity of GBAM's financial results. Then we build on these activities to offer performance insight to business leaders. The assets of Finance are its people Stress Testing and Recovery and Resolution Planning A specialized function that directs the submission of stress testing results and Recovery and Resolution Planning financial activities for GBAM Team / Overview: The role will be a Senior Financial Analyst for the Global Markets Balance Sheet and Net Interest Income Forecasting process as well as participate in various tasks for the Global Markets Stress Testing team such as Quality Assurance testing and business reviews. The role offers high visibility and works with the Front Office, Business Finance Organization (BFO), Liquidity, Capital, Balance Sheet Management, and Risk leaders to determine the best models, approaches, and variables to forecast what the revenue change would be given various economic scenarios.   The Senior Analyst will focus on specific sub lines of businesses within Fixed Income, Currencies, and Commodities (FICC) and Equities. As a subject matter expert on the balance sheet for their businesses, they will work with BFO's on updates to portfolio yields, understand recent portfolio trends and potential market impacts. The individual will lead all stress testing, recovery, and resolution for their businesses.   The individual is the central coordinator for the many moving parts of the Comprehensive Capital Analysis and Review (CCAR) forecasting and Resolution and Recovery Planning: Coordinate data collection and completeness Ensuring data accuracy Analyze and attest to results and reasonableness Review portfolio macro variable impacts and associated spreads for balance sheet and Providing reporting to senior management on how to interpret the results Provide reporting and answer questions for Enterprise Stress Testing, Legal Entity Controllers, local finance teams, and regulators Maintaining up to date and accurate line of business model documentation Plan, coordinate and implement medium-term and longer-term enhancements to forecast process and methodologies, including centralization of data sourcing and projections as well as introduction of new pricing models Verify all requirements regarding quarterly cycles are followed per Enterprise Stress Testing (EST) guidelines   The individual will develop new models as required and enhance existing balance sheet models used in forecasting. This involves collaboration with Senior Finance Analysts, Business Finance Officers, and the Front Line Units. The individual will be responsible for presenting modeling results and adjusting model parameters based upon stakeholder feedback and document final modeled approaches according to Qualitative Methodology Review and Model Risk Management standards.   This is a unique opportunity to join a GBAM wide function, gain exposure to Global Markets businesses (Global Credit, Emerging Markets, Commodities, Equities, etc.) and financial drivers across the segment's products and businesses, and work with leaders across the organization. Role does require the ability and desire to be able to work extra hours at peak quarterly times, as the entire team does.   Enterprise Role Overview: SFA in the Finance Business Support role with a specialty in Capital Markets. Key deliverables this role will focus on are: CCAR which is the Federal Reserve's annual assessment of the capital adequacy for the largest and most complex U.S. Banks, and OCC's equivalent DFAST requirement. This review also includes quarterly review and challenge of stress testing results with Finance Executives, FLU Head, and other members of BAC senior management teams. Annual Global Markets recovery options refresh. This includes annual review of impacts of existing options, review of potential new options, and review and challenge of recovery option results with Finance Executives, FLU Head, and other members of BAC senior management teams. Global Markets resolution plan submission to the regulators, including the bi-annual submission of the 165(d) plan for Client resolution. This review also includes review and challenge of resolution results with Finance Executives, FLU Head, and other members of BAC senior management teams. Required Skills: · Bachelor's degree · Minimum of 2+ yrs in Finance · Using strong analytical, critical thinking, communication, and problem solving skills to lead or facilitate discussions across various levels of stakeholders/support partners to provide impactful analysis on forecast results; · Ability to manage multiple projects at the same team and communicate across an array of stakeholders · Experience in Automation · Understanding/ability to work with complex Excel Spreadsheets and Access datab · Strong verbal communication, relationship building and people skills · PowerPoint skills Desired Skills: · Forecasting, especially scenario forecasting, and performance testing/enhancing models; · Management Reporting · Exposure to financial products, concepts and businesses · Ability to multi-task and make changes under tight deadlines · Programming experience (Preferably in R, Python, or SQL) and understanding of database functionality

Position Details

POSTED:

Dec 04, 2022

EMPLOYMENT:

INDUSTRY:

SNAPRECRUIT ID:

S16560288516025412

LOCATION:

United States

CITY:

Charlotte, NC

Job Origin:

OORWIN_ORGANIC_FEED

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Our Client commitment to Diversity and Inclusion statement We're a culture that: • Believes in responsible growth and has a proven dedication to supporting the communities we serve. • Provides continuous training and developmental opportunities to help people achieve their goals, whatever their background or experience. • Believes diversity makes us stronger, so we can reflect, connect to and meet the diverse needs of our clients and customers around the world. • Is committed to advancing our tools, technology and ways of working. We always put our clients first to meet their evolving needs The Chief Financial Officer (CFO) Group is responsible for the overall financial management of our company. This includes accounting, financial and regulatory reporting, balance sheet management, financial planning and analysis, treasury, investor relations, corporate investments and tax Global Banking and Markets Finance strives to be a valued business partner to the company's trading, corporate and institutional banking businesses. Our first priority is to operate a series of key control processes to ensure the integrity of GBAM's financial results. Then we build on these activities to offer performance insight to business leaders. The assets of Finance are its people Stress Testing and Recovery and Resolution Planning A specialized function that directs the submission of stress testing results and Recovery and Resolution Planning financial activities for GBAM Team / Overview: The role will be a Senior Financial Analyst for the Global Markets Balance Sheet and Net Interest Income Forecasting process as well as participate in various tasks for the Global Markets Stress Testing team such as Quality Assurance testing and business reviews. The role offers high visibility and works with the Front Office, Business Finance Organization (BFO), Liquidity, Capital, Balance Sheet Management, and Risk leaders to determine the best models, approaches, and variables to forecast what the revenue change would be given various economic scenarios.   The Senior Analyst will focus on specific sub lines of businesses within Fixed Income, Currencies, and Commodities (FICC) and Equities. As a subject matter expert on the balance sheet for their businesses, they will work with BFO's on updates to portfolio yields, understand recent portfolio trends and potential market impacts. The individual will lead all stress testing, recovery, and resolution for their businesses.   The individual is the central coordinator for the many moving parts of the Comprehensive Capital Analysis and Review (CCAR) forecasting and Resolution and Recovery Planning: Coordinate data collection and completeness Ensuring data accuracy Analyze and attest to results and reasonableness Review portfolio macro variable impacts and associated spreads for balance sheet and Providing reporting to senior management on how to interpret the results Provide reporting and answer questions for Enterprise Stress Testing, Legal Entity Controllers, local finance teams, and regulators Maintaining up to date and accurate line of business model documentation Plan, coordinate and implement medium-term and longer-term enhancements to forecast process and methodologies, including centralization of data sourcing and projections as well as introduction of new pricing models Verify all requirements regarding quarterly cycles are followed per Enterprise Stress Testing (EST) guidelines   The individual will develop new models as required and enhance existing balance sheet models used in forecasting. This involves collaboration with Senior Finance Analysts, Business Finance Officers, and the Front Line Units. The individual will be responsible for presenting modeling results and adjusting model parameters based upon stakeholder feedback and document final modeled approaches according to Qualitative Methodology Review and Model Risk Management standards.   This is a unique opportunity to join a GBAM wide function, gain exposure to Global Markets businesses (Global Credit, Emerging Markets, Commodities, Equities, etc.) and financial drivers across the segment's products and businesses, and work with leaders across the organization. Role does require the ability and desire to be able to work extra hours at peak quarterly times, as the entire team does.   Enterprise Role Overview: SFA in the Finance Business Support role with a specialty in Capital Markets. Key deliverables this role will focus on are: CCAR which is the Federal Reserve's annual assessment of the capital adequacy for the largest and most complex U.S. Banks, and OCC's equivalent DFAST requirement. This review also includes quarterly review and challenge of stress testing results with Finance Executives, FLU Head, and other members of BAC senior management teams. Annual Global Markets recovery options refresh. This includes annual review of impacts of existing options, review of potential new options, and review and challenge of recovery option results with Finance Executives, FLU Head, and other members of BAC senior management teams. Global Markets resolution plan submission to the regulators, including the bi-annual submission of the 165(d) plan for Client resolution. This review also includes review and challenge of resolution results with Finance Executives, FLU Head, and other members of BAC senior management teams. Required Skills: · Bachelor's degree · Minimum of 2+ yrs in Finance · Using strong analytical, critical thinking, communication, and problem solving skills to lead or facilitate discussions across various levels of stakeholders/support partners to provide impactful analysis on forecast results; · Ability to manage multiple projects at the same team and communicate across an array of stakeholders · Experience in Automation · Understanding/ability to work with complex Excel Spreadsheets and Access datab · Strong verbal communication, relationship building and people skills · PowerPoint skills Desired Skills: · Forecasting, especially scenario forecasting, and performance testing/enhancing models; · Management Reporting · Exposure to financial products, concepts and businesses · Ability to multi-task and make changes under tight deadlines · Programming experience (Preferably in R, Python, or SQL) and understanding of database functionality


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