Join our dynamic Finance team, where your financial acumen will shape the strategic direction of Commercial & Investment Bank (CIB) Treasury Deposit Analytics team. This high-impact position offers the opportunity to partner with senior leaders to optimize financial performance and drive growth. If you're a strategic thinker with a passion for finance, we want you in our team.
As an Executive Director within the Commercial & Investment Bank – Deposit Financial Analysis, you will primarily lead the financial planning & analysis function for the Payments & Global Banking deposit book. Your responsibilities will include analyzing and communicating performance promoters against prior periods and budget, as well as forecasting future periods.
Job responsibilities
Lead the monthly results reporting and forecasting/budgeting processes for the CIB Payments deposit portfolio, including balances, NII, and Liquidity & Account Solutions fee revenue Identify drivers of balance and revenue changes across time periods for internal and external reporting Communicate drivers of performance to a variety of audiences at all levels across CIB Payments, Banking, and Treasury Ad hoc analysis as neededRequired qualifications, capabilities, and skills
10+ years’ experience in finance, corporate treasury, or wholesale transactional banking products Advanced analytical skills and Excel proficiency, comfortable managing complex tools and data files Excellent organizational and project management skills, including ability to manage multiple tasks concurrently Strong communication skills, including ability to present complex topics to senior leaders in concise and cogent presentations Manage a team across multiple locations, and work well with cross-functional partners Great attitude and willingness to learn