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Global Treasury (ALM) Stress Testing - Assistant Vice President 1

Early Applicant
  • 5 months ago
  • Be among the first 50 applicants

Job Description

Asset Liability Management (ALM), a division of Global Treasury, is responsible for managing the corporate balance sheet, net interest income (NII) forecast and interest rate risk positioning. The team focuses on optimizing the risk/reward relationship by recommending strategies for sustaining and growing NII while being mindful of regulatory constraints. ALM routinely collaborates with other areas across Global Treasury, Finance, Risk and business units to operate within the risk appetite outlined by the Board of Directors.

As part of ALM, the Assistant Vice President (AVP) will be responsible for supporting and developing analytics that cover all aspects of the firm's stress testing exercises that impact the balance sheet and NII. The candidate will collaborate with subject matter experts in the business lines as well as the oversight partners across the organization to analyze key findings, communicate impacts, and enhance our scenario analysis process.

What You Will Be Responsible For

As a Stress Testing and Global Reporting AVP you will:

  • Support all Comprehensive Capital and Analysis Review (CCAR) execution, presentations and analysis to senior management
  • Support new quarterly stress testing initiative and firm-wide scenario execution
  • Following procedures and maintaining existing processes, but also thinking critically about forecast and IRR topics to build subject matter expertise
  • Providing analytical support to drive key balance sheet initiatives
  • Work closely with model developers and oversight partners on balance sheet model enhancements and redevelopment
  • Provide analytical support to drive key balance sheet initiatives
  • Respond in a timely and accurate manner to ad-hoc requests
  • Providing value added analytics is a fundamental expectation of the role as is ability to provide strategic input into time critical initiatives

Education & Preferred Qualifications


  • 10+ years experience in financial services, Treasury experience preferred
  • Proven ability to solve problems and improve existing processes
  • Ability to grasp new concepts in fast-paced environment
  • Successfully collaborates across teams and works well independently
  • Knowledge of financial markets and the banking regulatory environment
  • Strong quantitative aptitude/skills
  • Experience with QRM modeling and production preferred
  • Advanced Excel and Power Point
  • Minimum of Master's degree, preferably in Economics, Finance or quantitative discipline

Job ID: R-749627

More Info

Industry:Other

Function:Finance

Job Type:Permanent Job

Skills Required

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Date Posted: 10/06/2024

Job ID: 81360647

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