New York, NY
Compile, analyze, and report monthly balance sheet and capital. Prepare quarterly balance sheet, risk weighted asset (RWA), capital, and return on equity (ROE). Perform balance sheet consolidation for business budget, forecast, and comprehensive capital analysis and review (CCAR) forecast.
Validate segment business required capital reporting. Production, support, and validation of financial and regulatory disclosures. Perform capital scenario analysis to support strategic business decisions. Partner with Treasury on legal entity funding and resources. Execute ad hoc management request and projects.
MINIMUM Experience Requirement: two (2) years of experience
Special Skills: Requires one (1) year of experience with: Basel III capital regime; capital calculation and analytics; capital concepts including business required capital and diversification allocation; risk weighted asset (RWA) calculation(standardized and advanced) and analysis; balance sheet reporting and analysis; wealth management business including products and services provided, statutory disclosures reporting, and internal management reporting; VBA; and Excel.