Job Description:
- Balance sheet reporting Reporting Monthly Assets and liabilities position of bank balance sheet cut across various businesses.
- Forecasting / Budgeting Preparing Balance sheet and RWA targets by country and various business based on Macro-economic factors and Group defined optimal returns / metrics like RoRWA, RWA JAWS,CT1 ratios and regulatory requirements
- Tracking / Highlighting material variances from the targets fixed and highlighting countries on the performances and Action plans
- Supporting group on FSA regulatory projects like Internal Liquidity Adequacy Assessment (ILAA), Internal Capital adequacy assessment and WB Balance sheet details as required
- Supporting Stress testing based on Macro economic scenarios on Balance sheet and RWA
- Adhoc activities relating to Balance sheet and Liquidity planning
a) Tenor split contractual and behavioural
b) Currency split USD/G3/G10/ Foreign vs Local
c) Liability/Deposits Mix/quality FSA type A/B split, Basel 3 Ops vs non-ops
d) High Quality Liquid Assets (HQLA)/ Liquid assets Buffer (LAB) analysis
e) Other regulatory/management adhoc requests
- Knowledge of OBIEE (Oracle Business Intelligence Enterprise Edition) and Fermat preferred
- Prior Experience of using SAS (Statistical Analysis System) is preferred
Qualification & Experience :
- CA / MBA from reputed Institute
- 12+ years of experience in Management Reporting in reputed international organization
- Excellent communication skills (both verbal and written)
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