Job responsibilities:
- Forecast business results under a variety of stress and baseline scenarios.
- Maintain, enhance and develop financial models in Excel and strategic platforms
- Support capital-related planning, forecasting and reporting
- Work with quantitative modeling teams on model design and implementation
- Analyze financial data to describe key drivers of change in results, comparing multiple exercises
- Partner with Corporate, Financial Planning & Analytics (FP&A), Finance and Risk functions to timely meet deliverables submitted at the Firmwide level to regulators and used at the most senior levels in the organization to understand the business’ risk to adverse macroeconomic environments
- Support the business on ad-hoc analytical projects
Required qualifications, capabilities and skills:
- Thoroughness and attention to detail and high level of accuracy given contribution to regulatory submissions
- Proficiency in Microsoft Office applications, particularly strength in Excel and PowerPoint
- Skills in communication, writing, organization, and time management
- Bachelor’s Degree
- 2+ years working experience, in financial planning or accounting
Preferred qualifications, capabilities, and skills:
- Interest in working with data sets, data mining, and analytics
- Ability to manage multiple projects within concurrent deadlines
- A desire to partner with diverse teams and work in a team environment to ensure business objectives are met
- Developing knowledge of systems and technology; skills in Essbase, Tableau, and Alteryx would be beneficial
- Financial services industry experience is a benefit