Business / Finance Analyst

  • NTT DATA Corporation
  • Charlotte, North Carolina
  • 10/02/2020

Job Description

Role Description:
The team has needs to support the APAC region and (1) to support the EMEA region. The goal of increasing and improving international coverage is to develop balance and NII forecasts that can be used for liquidity, funding and interest rate risk routines and regulatory requirements for various international entities and branches.

Specific qualifications & skills:
* Create Excel spreadsheets in accordance with standards and controls covering topics including capital and RWA (risk-weighted asset) forecasts and metrics under various scenarios
* Document methodology for spreadsheet creation
* Liaise with partners to source financial information, explain results, raise issues
* Conduct quality review of financial numbers and plan documentation
* Communicate progress and manage deadlines
* Prepare content for management presentations
* Understanding of asset liability management as it pertains to banking as well as nuances related to international entities.
* Experience working globally across multiple geographies.
* Knowledge of capital management for a large, complex bank including experience creating capital forecasting and CCAR related spreadsheets
* Experience creating process documentation
* Self-starter and able to work with limited supervision
* Able to work on multiple assignments at once, flexibility in a changing environment under tight timelines
* Effective partner liaison and communication of complex financial information
* Proficient in MS PowerPoint and senior management level presentations
* Understanding of liquidity regulatory requirements and/or concepts
* Proficient in MS PowerPoint and senior management level presentations
* Understanding of liquidity regulatory requirements and/or concepts
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