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Business Financial Performance, Sr Manager
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- As part of the enterprise Client Profitability Methodologies team, this role brings a strategic finance, FP&A and financial risk management mindset to bear on critical enterprise-wide financial methodologies and frameworks to drive shareholder value across the entire organization.
- Coordinates and communicates with key stakeholders across Risk, FP&A, Corporate Treasury and Model Risk to stay abreast of regulatory, accounting or modeling changes that may have broad enterprise implications and provides independent perspective on Client Profitability implications to internal COE partners and Line of Business stakeholders as needed.
- Seven to ten years of financial services, banking, and/or management consulting trajectory, or a combination thereof, with direct experience in FP&A, Treasury or Financial Risk Management roles.
- Demonstrated experience in one or more key topical non-financial (e.g., product or client-level cost allocation, cost taxonomies, time studies) or financial (e.g., expected loss models, regulatory/economic capital, FTP) measurement systems and basic understanding of financial performance management theory and practice (e.g., RAROC, EVA).
- Working knowledge of one or more Basel frameworks (e.g., RWA, TLAC, LCR, NSFR) and implications for enterprise-wide and instrument-level financial resource management considerations.
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