Contributing to the efficient and effective management of the bank's capital
Maintaining capital adequacy needed for supporting responsible growth and return to shareholders
Partnering with Lines of Business (LOBs), Global Technology, Chief Finance Officer, Group Data Management, Treasury Policy and Advocacy, Global Risk Analytics (GRA), Centralized Regulatory Reporting (CRR), and Investor Relations
Applying expertise in capital regulations, reporting, and analysis to support the bank's capital initiatives
Producing and monitoring regulatory and internal capital metrics including capital adequacy ratios, leverage exposure, total loss-absorbing capacity (TLAC), and risk-weighted assets (RWA)
Overseeing capital forecasting and measurement including baseline and stress
Developing Capital Plans, Resolution Plans, and Recovery Plans, creating capital content, and monitoring ongoing capital adequacy
Requirements
5+ years experience in the financial industry in a similar type role
Strong communication and business partnering skills
Highly motivated; takes initiative
Challenges status quo with bias for continuous improvement
Bachelor’s degree in finance and/or Accounting
Familiarity with Basel III rules/regulations
Knowledge/Understanding of CCAR requirements and processes
Planning/Forecasting experience
Benefits
Industry-leading benefits
Access to paid time off
Resources and support to contribute to the sustainable growth of our business and the communities we serve
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.