Seize an opportunity to join the Corporate & Investment Business (CIB) Capital Controllers team is a group within the CIB Treasury function whose primary responsibility is reporting of the risk weighted assets (RWA), supplementary leverage ratio (SLR), and global systematically important banks (G-SIB) components for the CIB. The team ensures the CIB businesses’ RWA and Capital metrics are in line with the overall firmwide framework, and is also responsible for allocating capital to the CIB Lines...
Seize an opportunity to join the Corporate & Investment Business (CIB) Capital Controllers team is a group within the CIB Treasury function whose primary responsibility is reporting of the risk weighted assets (RWA), supplementary leverage ratio (SLR), and global systematically important banks (G-SIB) components for the CIB. The team ensures the CIB businesses’ RWA and Capital metrics are in line with the overall firmwide framework, and is also responsible for allocating capital to the CIB Lines of Businesses (LoBs) in accordance with an internally devised methodology.
As a Treasury Capital Controller – Associate in Corporate and Investment Bank, you will be part of a high performing team, serving a trusted advisor to CIB management and corporate partners. You will provide clarity on the best usage of analytics to gain insights, evaluate metrics, and promote results. This role offers the opportunities to work in a fast paced, results-oriented environment, collaborating closely with business heads and internal stakeholders to achieve financial and strategic goals.
Job responsibilities
- Manage the end-to-end reporting of CIB FR Y-15 (GSIB) and SLR results based on a monthly and quarterly cycle including responsibility for coordinating results consolidation and dissemination, collection and preparation of adjustments and management saves and creating in-depth period over period analysis for senior management reviews
- Serve as SME and advise senior management, LOB leads, and corporate partners on a wide range of topics including new business initiatives, policy changes, and new rules implementation.
- Execute ad hoc analysis in support of financial and strategic goals; prepare business review materials
- Partner with Capital Policy, Corporate Accounting Policy, and Legal teams on implementation of new capital rules and regulatory requirements
- Leverage a deep understanding of the CIB operations and financial principles and a working knowledge of key business drivers to coordinate, assess, and execute the long-term goals and priorities of the team
Required qualifications, capabilities, and skills:
- Minimum 3 years business and financial management experience
- Bachelor Degree
- Strong preference for experience with data visualization and dashboard creation (Tableau, Alteryx) and advanced Microsoft Office skillset (Excel, PowerPoint)
- Solid understanding of financial products and markets, as well as ability to link results to activities
- Aptitude to work collaboratively and develop strong relationships across the organization
- Aptitude for identifying business needs, improving on current processes, and driving operational change
Preferred qualifications, capabilities, and skills:
- BA/BS in Finance, Economics, or Accounting