ACCOUNTING, FINANCE & REAL ESTATE
PHONE: 212-856-9888
FAX: 212-856-0826
• Partner with Market Risk to tell the financial story behind the models and their validation
• Manage and motivate a diverse team across multiple domestic and international locations
• Spearhead CCAR production in a timely fashion and develop the appropriate analytical materials
• Manage and lead the development of benchmark statistical models, including data, segmentation, risk identification and validation
• Handle all regulatory issues including exams and feedback
• Analyze both the entire institutional group portfolio as well as at the individual products level and provide analytics and commentary in each of the Base and Stress scenarios.
Qualifications:
• Excellent data and modeling skills
• 8+ years of relevant experience in FP&A, additional experience in treasury/capital is a plus
• Experience providing financial analysis for monthly forecasts, strategic multi-year forecasts, and annual budgets
• Knowledge of capital markets products and their forecasting methodologies, risk drivers, regulatory requirements and capital impact
• Top schools, MBA or CFA preferred