Senior Finance Analyst - Corporate and Investment Banking

4 - 8 years

7.0 - 17.0 Lacs P.A.

Hyderabad

Posted:2 months ago| Platform: Naukri logo

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Skills Required

financial managementfinancial analysisrisk managementOracle FinancialsEssbaserisk mitigationCAchange management

Work Mode

Work from Office

Job Type

Full Time

Job Description

Senior Finance Analyst Corporate and Investment Banking Finance Loan Forecasting Analyst--Corporate-and-Investment-Banking-Finance-Loan-Forecasting About this role: Wells Fargo is seeking is seeking a Senior Finance Analyst to focus on balance sheet and net interest income forecasting, reporting, and analytics across baseline forecasts, stress tests, resolution and recovery planning, and other financial management processes for the Corporate and Investment Banking business. This role will cover responsibilities around managing balance sheet composition, net interest income, funding and liquidity, forecast operations and risk management including the design and implementation of the processes, policies and procedures. In this role, you will: Lead or participate in moderately complex initiatives as a technical professional Provide a broad expertise and unique skills used to develop company objectives and standards Contribute to large scale planning such as economic research in support of management decision making for a business unit Research key forecasting projections as well as management of financial reporting to support monthly and quarterly forecasting Perform work on significant and unique issues involving data and evaluation or highly complex situations Develop strategies and make recommendations for forward financial planning Lead team to meet the implementation of complex projects impacting one or more lines of business Establish effective and efficient reporting delivery that meets brand standard and internal control standards Collaborate and consult with peers, colleagues, and managers to resolve issues and achieve goals Required Qualifications: 4+ years of Finance experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education Required Qualifications for Europe, Middle East & Africa only: Experience in Finance or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education Desired Qualifications: Experiences in process improvements and automation Familiarity of emerging financial analytical tools - Oracle Financials, Essbase, Power BI, Tableau, Alteryx, Python, etc. Advanced Microsoft Office (Word, Excel, Outlook and PowerPoint) skills Knowledge and understanding of financial analysis, forecasting as well as balance sheet and net interest income behavior A strong track record of change management, problem solving, attention to detail, critical thinking with a willingness to engage in continuous process improvement Ability to work independently, be highly organized, able to prioritize multiple tasks, and take on new challenges Capability to interpret and communicate complex financial data to a variety of stakeholders and management levels in a clear and concise format Flexibility to manage multiple projects in a time sensitive environment Comfortable to work in Rotational shifts CA CMA CFA MBA Graduate with financial or banking sector experience in treasury, finance, change management experience or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education Progressive track record of management reporting experience with familiarity of running and or working in a geographically diverse team Strong Financial analysis and experience in providing timely and relevant recommendations to drive business decisions and outcomes Strong interpersonal and communication skills, including the ability to give presentations and briefings to senior management Creative and strategic thinking skills, including the ability to analyze business transactions and identify key finance risks/mitigating controls, Ability to work under pressure and maintain high energy levels Must be able to work independently with positive collaboration within a fast paced, team environment Job Expectations: Execute balance sheet and net interest income for the CIB Loan portfolio (inclusive of yields and cost of funds) forecasts on a monthly, and quarterly basis, and for CCAR, and RRP Collaborate and consult with business partners such as the broader finance team, treasury functions, Business Finance, Corporate FP&A, Corporate Enterprise Risk Group, and Risk Modeling Group, etc. Develop strategies and enhancements to transform the forecast process to achieve optimal automation and process efficiency in partnership with the transformation office Ensure data quality, risk mitigation, compliance, and well-controlled processes Exercise sound judgement, and apply an appropriate level of skepticism and review and challenge through collaborative partnership with LOB Finance, LOB SMEs Produce reporting and analytics to provide management with meaningful insight into underlying drivers impacts balances and yields forecasts

Banking and Financial Services
San Francisco

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