As a Treasury - Capital Management in the Commercial & Investment Bank Treasury team, you will focus on capital management and support the development and execution of related strategies to influence, optimize, measure, and report on business performance. You will have exposure across the firm’s Treasury teams and work with partners who manage the businesses’ balance sheet, funding, and liquidity strategies. You will collaborate with various stakeholders across the firm to drive business results while adhering to regulatory constraints and internal controls.
In addition, you will assist the department and other team members with special projects or components of other projects as needed.
Job responsibilities:
Focus on capital allocation frameworks and methodology for CIB including the following:
Required Qualifications:
Preferred Qualifications, Capabilities, and Skills:
Knowledge of U.S. implementations of Basel regulatory capital rules a plus (e.g. leverage requirements, Risk- weighted assets, Global Systemically Important Bank surcharge (GSIB), Stress Capital Buffer (SCB), Comprehensive Capital Analysis & Review (CCAR), etc.)