Reporting & Governance Sr Analyst
Company: Disability Solutions
Location: Charlotte
Posted on: November 5, 2024
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Job Description:
Job Description:At Bank of America, we are guided by a common
purpose to help make financial lives better through the power of
every connection. Responsible Growth is how we run our company and
how we deliver for our clients, teammates, communities and
shareholders every day.One of the keys to driving Responsible
Growth is being a great place to work for our teammates around the
world. We're devoted to being a diverse and inclusive workplace for
everyone. We hire individuals with a broad range of backgrounds and
experiences and invest heavily in our teammates and their families
by offering competitive benefits to support their physical,
emotional, and financial well-being.Bank of America believes both
in the importance of working together and offering flexibility to
our employees. We use a multi-faceted approach for flexibility,
depending on the various roles in our organization.Working at Bank
of America will give you a great career with opportunities to
learn, grow and make an impact, along with the power to make a
difference. Join us!Job Description:Works with senior management
and other team members to implement enhancements to reporting and
analysis packages for senior management forums and committees plus
the implementation of improved reporting and data mining tools and
metrics. Ensures that the team produces regulatory and economic
risk capital reports and data inputs respectively. Produces
regularly scheduled reports including stress and back testing and
responds to ad hoc reporting and analysis requests. May manage a
small team of analysts or own key reports and or processes. Strong
finance, risk or compliance background with quantitative skills
preferred.Global Markets Risk Management serves as independent
market risk oversight of the Firm's trading activities. The Global
Market Risk Stress Testing team within this organization is
responsible for the implementation and management of critical
enterprise processes and analysis to support the global markets
business and senior risk management. The team is seeking a highly
motivated individual to support regulatory reporting (FR Y-14Q
Schedule F) associated with market risk stress testing. The
candidate will support both ongoing BAU and initiative /
improvement work in this reporting schedule. The candidate in this
role will have a wide range of responsibilities from supporting the
end-to-end report production process, running a suite of controls
on the final report, responding to ad hoc questions from senior
leaders and regulators, maintaining process and control
documentation and driving improvements in the overall process.This
work will require extensive engagement across risk functions and
other partners across the Firm. The candidate will also be a key
participant in compliance, audit and regulatory testing related to
the reporting schedule. Primary Responsibilities include:a.
Ownership of the end-to-end report production process b.
Maintaining a strong control environment for the reporting
processc. Fielding ad-hoc questions on reports from regulators,
internal senior risk leaders, and audit partnersd. Working with
technology and data partners to correct issues and enhance
functionalitye. Maintain and develop documentation on
processesRequired skills:-- Incumbents typically have 5 years of
experience in the financial industry, ideally with knowledge of
market risk concepts-- Very high level of Microsoft Excel
proficiency-- Highly motivated individual who fully understands the
demands of a market risk professional with ability to work in a
fast-paced environment-- Highly proficient at communication with
ability to influence co-workers across our global team and all
levels of the organization-- Intellectually curious with the
ability to investigate and develop root cause analysis for issues
and propose corresponding process or technology changes-- Effective
time management skills, with the ability to manage multiple high
priority deliverables simultaneously-- Attention to detailDesired
skills: -- Familiarity with market risk metrics like Value-at-Risk
(VaR), greeks and stress testing -- Academic achievement in
quantitative disciplines such as mathematics or statistics --
Understanding of traded products across all asset classes--
Familiarity with coding, Python or SQL Skills:
Keywords: Disability Solutions, Greenville , Reporting & Governance Sr Analyst, Professions , Charlotte, South Carolina
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