Lead the team in the analysis of weekly/monthly/quarterly financials, trends and forecasts to make recommendations to improve business performance in terms of capital efficiency, liquidity and profitability (e.g. RoRWA and ROE).
Develop financial models and conduct scenario and sensitivity analysis based on macro factors and external benchmarking to identify risks & opportunities to support decision making, planning and long-term strategy plans.
Develop management dashboards to ensure strategic alignment of Capital, Balance Sheet & Profitability metrics across countries and business segments.
To be successful in this role you will need to be:
Proactive, meticulous and able to work independently as well as in a team
Good influencing and interpersonal skills for stakeholder management
Strong analytical, problem solving and presentation skills, ability to work with tight deadlines and dealing with ambiguity
Enjoy the challenge of combining data modeling and analytics into insights to drive quality decision making
Degree in Accounting / Finance / Business or equivalent professional certification
At least 10-12 years of experience in the finance industry
Familiarity with programming, data query, data management tools
Understanding of financial processes and experience with funds transfer-pricing (FTP) and/or experience in balance sheet and capital management will be an advantage
eFinancialCareers
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