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Balance Sheet Management Treasury Finance - Senior BFC ...

Bank of America - Charlotte, NC

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Job Description

Job Description:Balance Sheet Management Treasury Finance (BSMTF) is a division within the CFO Group responsible for performing the finance function for Corporate Treasury and providing executive management with accurate and timely analysis of the balance sheet, net interest income (NII), and non-interest income across Actuals and Forecast. Information generated by this team provides the framework which allows the company to position its balance sheet consistent with its risk appetite and expectations for changes in interest rates. BSMTF maintains close partnerships with various groups across the enterprise, providing key input to critical processes and strategic decisions. Coordination with Global Risk, Model Risk, Funding Managers, and other Treasury teams facilitates strategic ALM decisions within a controlled framework.The Treasury Business Finance Officer (BFO) team within BSMTF provides quantitative analytics and informed guidance to the Strategic Asset Liability Management (SALM) function which executes key funding transactions across Bank and Non-Bank entities using multiple products. Additionally, the Treasury BFO team engages in key Treasury project initiatives focused on driving Operational Excellence within the bank. Work responsibilities include daily, monthly, and quarterly monitoring of the bank''s funding positions as well as a variety of ad hoc analytics to provide consulting and support for decision making across Treasury. Results of these analytics are presented to Senior Management on a regular basis.The associate in this role will be responsible for:Daily, monthly, and quarterly monitoring of funding portfolio trends across Actuals and ForecastStandardized and ad-hoc analysis to inform key strategic decisions and inform overall funding portfolio managementPartnering with key internal stakeholders including SALM, Enterprise Capital Management (ECM), Global Liquidity Management (GLM), Global Risk and Accounting Policy, among others Required Skills:At least 5 years of experience in analytics with emphasis on design, testing, and implementation of calculations related to balance sheet, net interest income, cash flows, or risk analyticsBachelor''s degree in Finance, Business, Accounting, Quantitative, or Economics - or equivalent work experienceFinance/Accounting knowledge - experience in balance sheet management, forecasting, or other Corporate Treasury functionsUnderstanding of financial market dynamics, interest rates, accounting, and financial productsAbility to manage multiple priorities in a time sensitive environmentAbility to work across multiple teams in a collaborative environmentProficient in Microsoft Office tools, especially Microsoft Excel & SQL skillsInquisitive, willing to challenge the status quo and strive to improve processesDesired Skills:Experience analyzing fixed income securities, interest rate derivativesExperience with SAP / Oracle (general ledger systems)Familiarity with financial institution legal entity structureTechnical business analyst skills (SQL, VBA, Python a plus) Job Band:H5Shift: 1st shift (United States of America)Hours Per Week:40Weekly Schedule:Referral Bonus Amount:2000 --> Job Description:Balance Sheet Management Treasury Finance (BSMTF) is a division within the CFO Group responsible for performing the finance function for Corporate Treasury and providing executive management with accurate and timely analysis of the balance sheet, net interest income (NII), and non-interest income across Actuals and Forecast. Information generated by this team provides the framework which allows the company to position its balance sheet consistent with its risk appetite and expectations for changes in interest rates. BSMTF maintains close partnerships with various groups across the enterprise, providing key input to critical processes and strategic decisions. Coordination with Global Risk, Model Risk, Funding Managers, and other Treasury teams facilitates strategic ALM decisions within a controlled framework.The Treasury Business Finance Officer (BFO) team within BSMTF provides quantitative analytics and informed guidance to the Strategic Asset Liability Management (SALM) function which executes key funding transactions across Bank and Non-Bank entities using multiple products. Additionally, the Treasury BFO team engages in key Treasury project initiatives focused on driving Operational Excellence within the bank. Work responsibilities include daily, monthly, and quarterly monitoring of the bank''s funding positions as well as a variety of ad hoc analytics to provide consulting and support for decision making across Treasury. Results of these analytics are presented to Senior Management on a regular basis.The associate in this role will be responsible for:Daily, monthly, and quarterly monitoring of funding portfolio trends across Actuals and ForecastStandardized and ad-hoc analysis to inform key strategic decisions and inform overall funding portfolio managementPartnering with key internal stakeholders including SALM, Enterprise Capital Management (ECM), Global Liquidity Management (GLM), Global Risk and Accounting Policy, among others Required Skills:At least 5 years of experience in analytics with emphasis on design, testing, and implementation of calculations related to balance sheet, net interest income, cash flows, or risk analyticsBachelor''s degree in Finance, Business, Accounting, Quantitative, or Economics - or equivalent work experienceFinance/Accounting knowledge - experience in balance sheet management, forecasting, or other Corporate Treasury functionsUnderstanding of financial market dynamics, interest rates, accounting, and financial productsAbility to manage multiple priorities in a time sensitive environmentAbility to work across multiple teams in a collaborative environmentProficient in Microsoft Office tools, especially Microsoft Excel & SQL skillsInquisitive, willing to challenge the status quo and strive to improve processesDesired Skills:Experience analyzing fixed income securities, interest rate derivativesExperience with SAP / Oracle (general ledger systems)Familiarity with financial institution legal entity structureTechnical business analyst skills (SQL, VBA, Python a plus) Job Band:H5Shift: 1st shift (United States of America)Hours Per Week:40Weekly Schedule:Referral Bonus Amount:2000 Job Description:Balance Sheet Management Treasury Finance (BSMTF) is a division within the CFO Group responsible for performing the finance function for Corporate Treasury and providing executive management with accurate and timely analysis of the balance sheet, net interest income (NII), and non-interest income across Actuals and Forecast. Information generated by this team provides the framework which allows the company to position its balance sheet consistent with its risk appetite and expectations for changes in interest rates. BSMTF maintains close partnerships with various groups across the enterprise, providing key input to critical processes and strategic decisions. Coordination with Global Risk, Model Risk, Funding Managers, and other Treasury teams facilitates strategic ALM decisions within a controlled framework.The Treasury Business Finance Officer (BFO) team within BSMTF provides quantitative analytics and informed guidance to the Strategic Asset Liability Management (SALM) function which executes key funding transactions across Bank and Non-Bank entities using multiple products. Additionally, the Treasury BFO team engages in key Treasury project initiatives focused on driving Operational Excellence within the bank. Work responsibilities include daily, monthly, and quarterly monitoring of the bank''s funding positions as well as a variety of ad hoc analytics to provide consulting and support for decision making across Treasury. Results of these analytics are presented to Senior Management on a regular basis.The associate in this role will be responsible for:Daily, monthly, and quarterly monitoring of funding portfolio trends across Actuals and ForecastStandardized and ad-hoc analysis to inform key strategic decisions and inform overall funding portfolio managementPartnering with key internal stakeholders including SALM, Enterprise Capital Management (ECM), Global Liquidity Management (GLM), Global Risk and Accounting Policy, among others Required Skills:At least 5 years of experience in analytics with emphasis on design, testing, and implementation of calculations related to balance sheet, net interest income, cash flows, or risk analyticsBachelor''s degree in Finance, Business, Accounting, Quantitative, or Economics - or equivalent work experienceFinance/Accounting knowledge - experience in balance sheet management, forecasting, or other Corporate Treasury functionsUnderstanding of financial market dynamics, interest rates, accounting, and financial productsAbility to manage multiple priorities in a time sensitive environmentAbility to work across multiple teams in a collaborative environmentProficient in Microsoft Office tools, especially Microsoft Excel & SQL skillsInquisitive, willing to challenge the status quo and strive to improve processesDesired Skills:Experience analyzing fixed income securities, interest rate derivativesExperience with SAP / Oracle (general ledger systems)Familiarity with financial institution legal entity structureTechnical business analyst skills (SQL, VBA, Python a plus) Shift:1st shift (United States of America)Hours Per Week: 40

Created: 2021-11-29

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