The Wells Fargo invited applications for the post Vice President, Liquidity Reporting & Analytics.
Qualification
- CA, CMA, CPA, CA Inter, CMA Inter, MCom, MBA degree or higher in Finance, Accounting, Statistics, Economics, Business and over 12years of experience in one or a combination of the following: finance, accounting, analytics or reporting.
- Advanced SQL skills with Liquidity or Corporate Treasury experience
- Experience with financial models especially in areas of documentation and governance
- Experience with governance and oversight requirements for regulatory and risk reporting
- Knowledge and understanding of treasury management industry: asset liability management (ALM), liquidity management, and stress testing
- 4+ years of Treasury experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
- 2+ years of leadership experience
Responsibilities
- Manage and develop a team responsible for complex analytics on components of companywide key treasury finance metrics
- Oversee the monitoring and evaluation of global market conditions, funding, asset and liability management, liquidity risk management, capital management, financial performance management, capital, and related activities
- Ensure data quality and establish controlled processes
- Participate in industry and peer groups to influence the standard setting process
- Lead implementation of complex projects and initiatives impacting one or more lines of business
- Understand and ensure compliance and risk management requirements for supported area are met and work with other stakeholders to implement key risk initiatives
- Manage allocation of people and financial resources for Treasury
- Mentor and guide talent development of direct reports and assist in hiring talent
- Managing data processes to support compliance with emerging regulations on liquidity management and stress testing
- Researching and enhancing reliability of liquidity related data across the firm
- Identifying and implementing solutions related to complex liquidity issues and contribute to on-going strategic decisions within Treasury and companywide.
- Preparation of additional ad-hoc analyses/presentations and completing special projects of varying life spans.
- Assist in the development, maintenance and execution of Governance & Oversight framework documentation and controls including reconciliation and variance analysis.
- Assisting in further development of proprietary reporting tools and testing of implementation of improvements/enhancements.
JOB LOCATION: BENGALURU
For more details and to apply, click here
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