Balance Sheet Analyst Resume Samples

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GK
G Kshlerin
Giuseppe
Kshlerin
353 Montana Station
Detroit
MI
+1 (555) 769 5120
353 Montana Station
Detroit
MI
Phone
p +1 (555) 769 5120
Experience Experience
New York, NY
Balance Sheet Analyst
New York, NY
Koepp-Marvin
New York, NY
Balance Sheet Analyst
  • Assist the Balance Sheet Managers in the daily liquidity management of The Northern Trust Corporation
  • Create and maintain monthly working capital analyses, as well as “waterfall” analyses for use in analyzing all aspects of working capital
  • Enhances deposit pricing strategy; work closely with LOB to drive strategy and manage expectations
  • Work with business units on a regular basis to understand working capital forecasts
  • Enhances governance and control processes related to FTP, model development, and balance sheet management. Protect sanctity of Bank Charter
  • Works closely with LOB to develop return measurements and leverage to drive loan allocation
  • Develop and maintain management reports for Treasury’s trading activity and liquidity monitoring
Dallas, TX
Balance Sheet Proofing Analyst
Dallas, TX
Smitham-DuBuque
Dallas, TX
Balance Sheet Proofing Analyst
  • Communicating with Legal Entity Managers across multiple locations on the status of the reconciliations performed
  • Ensure reconciliation is performed to a high standard in line with corporate guidelines
  • Escalate any account related issues to Management and other Stakeholders
  • Accurate reporting of the status of the reconciliations owned into Citi reporting tool ‘eRecon’
  • Accurate reporting of the status of reconciliations across EMEA
  • Upload reconciliation pack onto Citi’s reporting tool ‘eRecon’
  • Follow up on reconciliation breaks, outstanding -, aged items
present
Dallas, TX
Balance Sheet Management Analyst
Dallas, TX
Dooley LLC
present
Dallas, TX
Balance Sheet Management Analyst
present
  • Partner with broader Finance, Service Centers (FRO) and Businesses teams to build-out and then enhance multiple return metrics under a robust reporting and governance framework. Manage the weekly/monthly deposit analysis process for the region and continue to streamline/automate existing reporting. Improve Regional deposit metrics focusing on core deposit analysis, deposit growth, quality of deposits, hedging and other metrics
  • Regularly monitor interest rate risk, including support business treasury analysis unit on reviewing proposed strategies to mitigate any identified risk. Implement the agreed hedge strategies across the region in cooperation with local / Regional treasury and product teams. Maintain a strong and efficient USD CIS hedge process supporting the Global Business treasury team in NY
  • Structured notes pricing and analytics including net present value (NPV), net interest margin (NIM), book impact, expected life, cost, product/currency mix, liquidity value, call exercises etc
  • Assist the Capital related components of the Recovery and Resolution Plan submissions
  • Optimize TTS, SFS and Private Bank contribution to the balance sheet´s structural liquidity by ensuring that the right incentives are in place (Funds Transfer Pricing). Support further development of Markets businesses analytics, supporting business towards reaching earnings and returns targets in a challenging capital environment
  • Support the firm’s issuance platforms including: trade maintenance and support, debt indenture compliance, management and regulatory reporting
  • Ensure that Funds Transfer Pricing (FTP) & Liquidity transfer pricing (LTP) are implemented following Citi Corporate Treasury policies and guidelines and identify improvement opportunities through a monthly review and reporting of FTP/LP calculations and trend evolution. Engage and support local teams in FTP revenue planning process
Education Education
Bachelor’s Degree in Accounting
Bachelor’s Degree in Accounting
Bowling Green State University
Bachelor’s Degree in Accounting
Skills Skills
  • Strong organizational skills; attention to detail
  • Ability to communicate effectively
  • Knowledge of statistical analysis and quantitative forecasting techniques
  • Expert knowledge of Excel
  • Extreme attention to detail
  • Understanding of corporate policy, philosophy, goals and objectives in order to affect financial oversight in protecting the company’s information and assets
  • Good communications skills
  • Strong problem solving skills
  • Ability to identify, research, and resolve problems independently
  • Knowledge of cash-flow and balance sheet dynamics
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7 Balance Sheet Analyst resume templates

1

Balance Sheet Analyst Resume Examples & Samples

  • Bachelor's degree from an accredited institution with concentration in Accounting or closely related field
  • 1-2 years prior Corporate or Public Accounting experience preferred
  • Strong knowledge of accounting principles (GAAP) and audit practices
  • Superior communication skills and attention to detail and accuracy
  • Strong computer/software skills (MS Excel required)
  • CPA or Accounting certification a plus
  • Multi-lingual (Spanish or Chinese dialects) highly desired
2

Balance Sheet Proofing Analyst Resume Examples & Samples

  • University/College degree, specialized in Accounting/Finance
  • 2-4 years of experience in an accounting role
  • Control focus / Risk awareness / Auditor approach
3

Balance Sheet Analyst Resume Examples & Samples

  • Provide analytic support for quarterly forecasts for base forecasting and CCAR/DFAST submissions
  • Become familiar with SunTrust line of business and product offerings through interaction with Senior Balance Sheet Analysts
  • Support research to modeling or data feeds enhancements
  • Facilitate distribution of standardized reporting of forecast metrics: production, line utilization, pricing, etc. as well as back-testing results
  • Good communications skills
4

Balance Sheet Integrity Analyst Resume Examples & Samples

  • Daily and month end reconciliations of operations core trade capture systems to the firms books and records (PeopleSoft)
  • Crete and maintain metrics for internal reporting and daily reporting to London manager
  • Train/manage ENO's in region who will perform the reconciliations
  • Undertake in region training of other CCVal teams in regards to break reduction
  • Create / maintain training manuals / user guides for CCVal in area of responsibility to facilitate this
5

Balance Sheet Analyst Resume Examples & Samples

  • Budgeting & Forecasting for the Asset & Liability Management Line of Business, which includes monthly analysis reporting of data using Finance Based models (i.e. Hyperion Essbase/Smartview)
  • Evaluating the accuracy of reports and financial information. Work independently to gather, document, review and analyze data
  • You will also be involved in preparing and analyzing monthly reporting data that will be presented to both the CFO of A&L Finance as well as the PNC Treasurer
  • Bachelors Degree in Finance and/or Accounting. Advanced degree preferred
  • Hyperion Planning System experience
  • Normally requires 3 - 5 years of finance or related experience
6

Balance Sheet Analyst Resume Examples & Samples

  • Developing an accurate representation of the firm’s balance sheet and net interest income profile
  • Bachelor's degree required; Concentration in Finance preferred (will not consider experience in lieu of education)
  • Normally requires 4-6 years finance or related experience (advanced degree equates to 1 year of experience)
  • Demonstrates strong analytical and interpretive skills
  • Demonstrates a basic understanding of bank products and activities
  • Demonstrates knowledge and use of personal computers, including spreadsheet and word processing applications
  • Strong database and analytical skills essential
  • Demonstrates the ability to communicate effectively, both orally and in writing
  • Financial modeling, asset liability management, and/or regulatory submissions experience preferred
  • Knowledge of balance sheet management modeling software systems for financial institutions preferred
  • Work well under deadlines
7

Group Balance Sheet Analyst Resume Examples & Samples

  • Critically review, analyze and challenge the financial resource usage and Deliver high quality Balance Sheet reporting and analytics for Group and all Business Divisions. Support client engagement model and establish RAS BS as a trusted & recognized business partner
  • Cooperate with the respective Businesses, Controlling, Treasury and Business Divisions CFOs to produce high quality financial information and analysis, support optimization efforts for their BS and provide senior management with ad-hoc analysis
  • Regularly review and challenge our clients' needs, their existing and new demands; any new report(s) to be set-up in a standardized process
  • Responsible to develop the offshore team member in their business understanding and knowledge of BS
8

Balance Sheet Proofing Analyst Resume Examples & Samples

  • Upload reconciliation pack onto Citi’s reporting tool ‘eRecon&#8217
  • Accurate reporting of the status of reconciliations across EMEA
  • Escalate any account related issues to Management and other Stakeholders
9

Senior Analyst, Balance Sheet Management Resume Examples & Samples

  • Support BSM process to ensure ongoing adherence to regulatory standards and industry best practices
  • On an ongoing basis optimize the use of new technology and information systems updates to improve process and system efficiency
  • Change & Innovation (Advisory)
  • Participate in the development and implementation of next generation SMR analytics and their integration into the BSM process
  • Analyze individual business group processes in support of improving cross-functional solutions
  • Provide input into the development of processes, including validation of information as required
  • Risk Management and Control (Governance and Analysis/Results)
  • Interface with other business units within Corporate Treasury (CT) to obtain financial information
  • Perform data mining to fulfill information needs of BSM
  • Participate in aspects of the operational execution of SMR risk reporting
  • Manage and maintain integrity with respect to data and assumptions received for BSM
  • Support Governance and Enterprise Risk groups in meeting regulatory and other requirements by providing information and fulfilling processes as required
  • Client & Relationship Management (Collaboration and Support)
  • Maintain and manage effective working relationships with all groups within CT and other areas of the Bank
  • Manage external relationships as required
  • Key contacts: Chief Accountant’s Group (CAG), Global Middle Office, Back Office, Structural Market Risk Reporting, Balance Sheet Analytics, Market Risk Management
  • Advisory – Has the authority to advise CT management and teams on governance related matters
  • Recommending - Has the authority to recommend low risk and sustainable processes to satisfy mandate
  • Monitoring - Has the authority to collect or be provided with the required information from groups within and outside of CT to support required monitoring and/or signoffs
  • Auditing - Has the authority to examine work of others to ensure accuracy of information received
  • Information Access – Has authority to access and utilize total bank and group financial information as required
  • Coordinating/Advising – Relationship with business units in CT to review data used for structural market risk measurement and reporting. Participate in CT initiatives and projects
  • Monitoring– Relationship with Global Middle Office and Back Office to review and resolve trade booking and PnL related issues
  • Providing Service – Relationship with Enterprise Risk Management Group to assist them in understanding the impacts on risks being managed by CT on Bank’s or LOB’s behalf
  • CA, CMA, CGA, CFA, BSc (Math), MBA Finance or equivalent preferred
  • 6-8 years financial/business experience, with risk management experience and working knowledge of derivatives preferred
  • Exposure to one or more of the following
  • Risk management, bond and derivative financial markets, front office execution, trading and derivative operations, risk systems, hedge accounting, risk decomposition (Greeks)
  • Solid experience and good understanding of bank structure, risk management concepts, financial markets and instruments (e.g., options, swaps, FX products)
  • Strong Microsoft Excel and data mining skills
  • Experience in financial modelling including understanding of statistics, risk or other quantitative metrics
  • Proficient in Bloomberg, Reuters and other market data sources
  • Excellent leadership and interpersonal skills; ability to influence stakeholders
  • Conceptual and strategic thinker
  • Attentive to detail with strong financial governance
  • Strong quantitative, technology and finance skills supported by thorough documentation
  • Proactive and persistent in issue resolution
  • Strong risk management and fundamental analysis skills with ability to discern trading desk dynamics
  • Delivers clear, effective communication and takes responsibility for understanding and helping others
  • Able to exercise independent thought and judgment and adapt to new tasks quickly
  • Details and results oriented and able to prioritize competing tasks in a fast-paced demanding environment
  • Ability to manage multiple tasks and meet timelines without compromising the quality and integrity of deliverables
  • Strong relationship management skills and customer service focus
10

Balance Sheet Management Analyst Resume Examples & Samples

  • Trade capture and settlement responsibility for issuance and buyback transactions
  • Transaction analysis, e.g., net present value (NPV), net interest margin (NIM), book impact, expected life, cost, product/currency mix, liquidity value, etc
  • Provide support for potential liability activity around position monitoring and associated swap hedges
  • Oversee structured notes system enhancement and process automation projects
  • Relevant Master’s degree or professional designations a plus
11

Balance Sheet Attestation Analyst Resume Examples & Samples

  • Daily and month end reconciliation of operations core trade capture systems to the firms books and records (PeopleSoft)
  • Ensure all breaks are resolved on a timely basis. Escalation to manager of all breaks over T+1
  • Assist in the production of metrics for internal reporting and daily reporting to London manager
  • Assist in the creation of training manuals / user guides for CCVal area of responsibility
12

Balance Sheet Analyst Resume Examples & Samples

  • Bachelor's degree from an accredited institution with concentration in Finance, Accounting, or closely related field
  • 5+ years relevant experience in finance/accounting/banking operations
  • 1-2 years of management or team leadership experience
  • Ability to problem solve and function independently with minimal supervision
  • Ability to interact with managers and various disciplines (Finance, Technology, Operations)
  • Strong analytical skills; previous experience with analysis of financial data
  • Must be able to multitask
  • Ability to work productively and efficiently in a continuously evolving, complex and fast pace environment
  • Project management/project work experience highly valued
  • Strong knowledge of accounting principles and financial risk is highly valued
  • Knowledge of various financial products is a plus
13

Balance Sheet Analyst Resume Examples & Samples

  • Assist the Balance Sheet Managers in the daily liquidity management of The Northern Trust Corporation
  • Trade booking and answering client queries
  • Develop and maintain management reports for Treasury’s trading activity and liquidity monitoring
  • Investing in time deposits, certificate of deposits, repurchase agreements and various securities
  • Evaluate market trends and trading strategies in the cash investment arena
  • Monitors economic trends, political changes, market developments, yields, and supply/demand factors
  • Builds and maintains relationships with market counterparties, brokers and internal partners
  • Experience within financial services
  • Interest in and appreciation of economic news and financial data
  • Educated to university degree standard or equivalent is preferable
14

Fro-senior Analyst Balance Sheet Substantiation Resume Examples & Samples

  • Minimum of 7 years experience in an Accounting environment
  • Drives client values and results
  • Proactive update and stakeholder management
15

Balance Sheet Proofing Analyst Resume Examples & Samples

  • Responsible for the accurate reporting of the status of the reconciliations owned into Citi reporting tool ‘eRecon&#8217
  • 3 years of experience in an accounting role
  • Management/supervisory experience
  • Pro-active, able to manage time, people and issues
16

Risk Management Organization Balance Sheet Risk Analyst Resume Examples & Samples

  • Design, implement, and prepare recurring or ad hoc reports and analyses including, but not limited to, independent price verification and covered position reconciliation
  • Validate data through existing system generated reports and accounting records
  • Investigate and research process exceptions in reports and data. Draw conclusions on pricing reasonableness and explain results of reports and analyses to department management and IPV Committee
  • Participate in the BB&T Securities Valuation Committee meeting as an attendee
  • Evaluate and recommend improvements to reporting processes and procedures within IPV and CPIP
  • Implement performance measuring and tracking methods to facilitate reporting
  • Bachelor’s degree in Finance, Accounting or Economics-related field, or equivalent education and related training
  • General understanding of the business of banking
  • Demonstrated ability to analyze problems and devise solutions
  • Demonstrated proficiency in basic computer applications, such as Microsoft Office software products (including functions, formulas, macros and pivot tables)
  • Provide self-audit of work applicable to Sarbanes-Oxley (SOX) controls
  • High degree of quantitative analysis skill including familiarity with accounting and audit principles and financial statement analysis
  • Previous banking or analytical work experience with specific emphasis on reporting and/or financial statement preparation
  • Familiarity with supervisory bank regulations, interest rate, market and liquidity risk principles
  • Knowledge of data management tools, such as Microsoft Access and SAS
17

Cib-f&bm-balance Sheet & Nii-analyst Resume Examples & Samples

  • Develop data variance analysis and liaise with Line of Business (LOB) counterparts for variance explanations on Balance sheet and Net Interest
  • Support the CCAR NII team with forecast projections of Net Interest Income/Expense as well as FTP (Funds Transfer Pricing). Manage internal forecasting database
  • Heavy interaction with CIB P&A, CIB Treasury Markets and CIB Liquidity teams
  • Maintain documentation of current Operating model
  • Create efficiencies & synergies across product, balance sheet and MIS groups
  • & synergies across product, balance sheet and MIS groups
  • 1-3+ years experience in Controller function
  • Working knowledge of Investment Banking products
  • Strong analytical, investigative problem-solving, and decision making talents
18

AVP, Balance Sheet Analyst Resume Examples & Samples

  • Bachelor’s Degree in Finance/Math/Economics
  • 3-5 years of experience, preferably within Financial Services
  • People and/or project management experience in a dynamic and highly technical environment is a plus
  • Strong analytical skills with advanced critical thinking capabilities
  • Well-developed aptitude with databases, spreadsheets, and other desktop applications
  • Knowledge of Treasury, Secured Financing, Derivatives and Prime Finance recommended
19

Balance Sheet Management Analyst Resume Examples & Samples

  • Optimize TTS, SFS and Private Bank contribution to the balance sheet´s structural liquidity by ensuring that the right incentives are in place (Funds Transfer Pricing). Support further development of Markets businesses analytics, supporting business towards reaching earnings and returns targets in a challenging capital environment
  • Partner with broader Finance, Service Centers (FRO) and Businesses teams to build-out and then enhance multiple return metrics under a robust reporting and governance framework. Manage the weekly/monthly deposit analysis process for the region and continue to streamline/automate existing reporting. Improve Regional deposit metrics focusing on core deposit analysis, deposit growth, quality of deposits, hedging and other metrics
  • Ensure that Funds Transfer Pricing (FTP) & Liquidity transfer pricing (LTP) are implemented following Citi Corporate Treasury policies and guidelines and identify improvement opportunities through a monthly review and reporting of FTP/LP calculations and trend evolution. Engage and support local teams in FTP revenue planning process
  • Regularly monitor interest rate risk, including support business treasury analysis unit on reviewing proposed strategies to mitigate any identified risk. Implement the agreed hedge strategies across the region in cooperation with local / Regional treasury and product teams. Maintain a strong and efficient USD CIS hedge process supporting the Global Business treasury team in NY
  • Provide analysis and support to the countries Caterpillar Vector annual runs, including analysis on estimated impact for businesses, unwind of P&L and Dv01 calculations, as well as support communication/escalation and documentation of any exception of the policy that might be requested by country. Provide tools and training to Local Businesses teams on Corporate Standards such as: Caterpillar Vectors, GOT, Dv01, and IRE, including supporting on discussions between TTS & SFS and local markets treasury on FTP vector to stabilize NIM and enable proactive balance sheet management
  • Prepare the Business Monthly Report including NIM by business, Transfer pricing analysis, Client rate, regular Balance Sheet Analytics for LATAM Region, hedges, projections and specific cases driving the business to even further meaningful discussions
  • Conduct periodic review of Single Yield Curves and Transfer Pricing with the Country Treasurers; ensuring curves and FTP implemented in the countries comply with Corporate Treasury policies and guidelines
  • Minimum 2 years financial and banking experience including knowledge on economic, statistical and financial analytical techniques
  • Solid analytical and data management skills, including Microsoft Office (Excel) and power point
  • Ability to collaborate within a team, diligent and organized
20

Senior Balance Sheet Analyst Resume Examples & Samples

  • Assist in Balance Sheet Forecasting assumption gathering/approval process by participating in monthly working group meetings with Line of Business Finance, Product Management and Central Planning Group, maintaining process governance, help lead the challenge and review with Finance Directors of all balance sheet assumptions and documentation/summarize projections
  • Assist in quantitative model build-out to support Comprehensive Capital Analysis & Review (CCAR) and internal forecasting by partnering with Risk Management to articulate model build needs/requirements, and assist in presenting model findings/explain model assumptions to LOB Finance Directors
  • Help report and explain assumptions to management (Treasury Strategy Committee updates and discussion, ALCO updates, Risk Management, etc.)
  • Help support Business Flow data/usage (historical and forecast) by working to increase LOB Finance usage/expertise, creating standardized reporting, maintaining/updating data definitions, and reporting trends to senior management
  • Develop and maintain industry knowledge with respect to peer Banks balance sheet composition, growth, net interest income, net interest margin, along with strategies that drive the results
  • Develop familiarity with major macro-economic variables utilized in the CCAR process, current and historical trends, and the correlations to the banking industry and Key
  • Support Key’s liquidity management framework by assisting in developing assumptions for Key’s hypothetical erosion scenarios
  • Developing a deep understanding of banking products, business lines, balance sheet relationships and staying abreast of developments in the banking industry, Federal Reserve CCAR process and the economy
  • A Bachelor's degree is required, with a concentration in Finance, Accounting or Economics preferred. - Excellent use of Microsoft Excel as an advanced financial analysis tool
  • Excellent written and oral communication, interpersonal, and organizational skills are necessary. Intermediate understanding of bank balance sheets and knowledge of financial reporting systems
  • Candidate must be self-motivated and results-oriented with the ability to function effectively within deadlines, and possess the ability to work in a team environment as well as to be part of multiple teams
21

Balance Sheet Management Senior Analyst Resume Examples & Samples

  • 5-7 years Treasury and/or Finance function experience
  • Expert MS Excel, PowerPoint
  • Numerate, technical and analytical, high attention to detail and ability to handle complex models
  • Comfortable communicating across teams, meeting objectives in a defined time frame, and delivering results
  • Able to handle tight deadlines and multitask, ability to work under pressure
22

Balance Sheet Management Analyst Resume Examples & Samples

  • Excel & Powerpoint competency
  • Demonstrate prudence and sound judgement in the management of liquidity and funding risk
  • Able to work under huge pressure, prioritize tasks to meet tight deadlines
  • Sound research capabilities with proven track records
  • Multi skilled with strong IT abilities
  • Understanding of the policies, procedures and ethical requirements of a Treasury environment
  • Knowledge of interest rate risk management including structural and behavioural analysis
  • Knowledge of liquidity and funding risk management
  • Knowledge of financial markets and economic fundamentals
  • Knowledge of treasury, retail, corporate and capital markets products
  • A detailed knowledge of the Treasury Balance Sheet Management
  • Understanding of banking across segments
  • Ability to influence decisions with ability to lead strategy on future initiatives
  • 3 years experience in financial markets with emphasis on Treasury related experience
  • Post-graduate qualification
  • ALM & FLM experience
  • ACI accredited
23

CTI Asset Allocation Capital Analysis & Optimization Balance Sheet Management Analyst Resume Examples & Samples

  • Leading the design of CTI’s Investment Management System: The team drives the design and implementation of CTI’s integrated investment management system “TIMS”
  • Leading the optimization of capital usage across the firm: The team is responsible for analyzing TCE usage across business activities and leading the evolution of the firm’s TCE allocation methodology
  • Assist in analyzing capital usage across Citigroup’s businesses
  • Support the evolution of Citi’s capital allocation methodology in line with market and regulatory developments
  • Assist in defining capital allocations to a detailed business level
  • Working with businesses to help them understand their capital usage and its drivers
  • Create presentations to explain businesses capital usage and changes thereto
  • Minimum Bachelor’s degree from a top tier school
  • Masters or other relevant advanced qualification, or Financial Services consulting experience, would be a plus
  • Working knowledge of bank regulatory capital metrics, their calculation and application
  • Working knowledge of financial risk management and valuation techniques
  • Analytical background with strong problem solving skills and an ability to assimilate complex information across a variety of financial disciplines
  • Sound communication skills, oral and written, with ability to converse with a wide variety of people across functions / seniority
24

Balance Sheet Proofing Senior Analyst With Hungarian Resume Examples & Samples

  • Performs other forms of reconciling accounts based on the profile of each account
  • Ensure audit preparedness in all aspects of reconciliation and proofing for both internal and external audits & reviews. Understand how duties relate with others in the team/unit and how the unit integrates with others in accomplishing the work of the function
  • It includes metrics distribution, conduct customer service calls and initiate process improvements
  • Participates in global various initiatives and projects across EMEA countries
  • At least 4 years of experience in Banking , Financial Institutions sector
  • Proven track record of solving issues
  • Analytical ability and good attention to detail
  • Must have a very good understanding of accounting process
  • Proficient in MS Office with Advanced Excel skills
  • Strong sense of accountability
  • Ability to work independently within a team environment
  • Ability and interest to see the “bigger picture”, prioritize and put things in perspective
  • Able to handle tight deadlines and multitask, flexible with an ability to work under pressure
25

Balance Sheet Proofing Analyst With Hungarian Resume Examples & Samples

  • Ensures that errors and issues for assigned accounts are identified, properly escalated and reported in a timely manner and coordinates these with Account Owners/Exception Owners from various units and businesses for corrective action, and advises them of preventive actions
  • Performs testing for system enhancements or resolutions to ensure that updates/changes will not disrupt the production process once implemented
  • Complete all tasks in connection with the organization’s activity but not detailed in the current job description, charged by the direct manager, regional and governance leads
  • At least 2 years of experience in Banking , Financial Institutions sector
  • Working towards a certification in accounting (ACCA, CPA or local equivalent) would be a strong asset
  • Fluent English, both oral and writing (Corporate Citi language)
  • Fluent Hungarian
  • Must use knowledge to resolve difficult proofing issues
26

Balance Sheet Analyst Resume Examples & Samples

  • Establishes and executes the balance sheet management and optimization framework with sub-ALCO’s for Consumer and Commercial LOB providing the governance forum, leading to SBNA ALCO
  • Works closely with LOB to develop return measurements and leverage to drive loan allocation
  • Enhances deposit pricing strategy; work closely with LOB to drive strategy and manage expectations
  • Drives continuous evolution of the FTP methodology; adheres to the interagency guidance on FTP; executes calculation of FTP charges and credits on a monthly basis
  • Drives ALM model development, interface with model validation and regulators
  • Enhances governance and control processes related to FTP, model development, and balance sheet management. Protect sanctity of Bank Charter
  • BS in relevant financial/mathematical field, master’s degree in a relevant field would be a plus
  • Financial/Treasury/ALM or other relevant experience is preferred
  • Experience interacting with investors, rating agencies and/or banking regulators would be a plus
  • Ability to perform financial and quantitative analysis without extensive supervision
  • Strong computing skills, particularly in Microsoft Office (Excel, Word, PowerPoint)
  • Programming skills in R, SAS, VBA, etc would be a plus
  • Some knowledge of financial modeling and statistical analysis techniques
  • Ability to work under pressure, multitask and be flexible
  • Excellent verbal, written, and presentation skills; ability to interact effectively with all levels in the organization
  • Strategic and analytical thinker, with a passion to pro-actively devising and implementing effective solutions to complex problems
  • A high level of attention to detail and quality assurance
27

Balance Sheet Analyst Resume Examples & Samples

  • Runs economic simulations on the company's balance sheet to understand the sensitivity of earnings and capital to changes in interest rates
  • Creates forecasts of net interest income over a variety of interest rate scenarios to understand the risk in the budget and forecast from market interest rates diverging from planned levels
  • Prepares and compiles the committee papers for the Asset Liability Support Committee and the Executive Asset Liability Committee
  • Prepares analysis on historical customer behaviors to refine the assumptions within the asset liability modeling software
  • Solve business problems by developing practical solutions through the application of quantitative methods
  • Compiles and analyzes data to provide reporting and trending of key performance indicators to management in a timely manner; provides insights and identify data inconsistencies for investigation
  • Identifies process improvements within analytics, challenging existing processes where needed, and developing an overall best practice Asset-Liability Management (ALM) model
  • Maintains, validates and documents the assumptions and models used in the QRM ALM engagement per Huntington's Model Validation Policies and Model Risk Management oversight
  • Assists BSM team with other monthly duties as needed
  • Bachelor's degree, preferably in Economics, Finance, or Accounting
  • 3-5 years of experience in a quantitative analytical role, preferably in a bank. If your experience is not in banking, having comprehensive knowledge of how a bank's balance sheet and income statement work is critical. Be sure to list this on your resume
  • Masters' degree in Economics or Finance
  • Knowledge of QRM or other ALM
  • Capital markets experience
  • Understanding of banking related products -- determining how a product will behave in the future and the risk associated with it
  • Proficiency in Microsoft Office applications, including Excel, Power Point, and Access
  • Excellent communication skills - Able to communicate and present complex issues clearly and concisely with management, both written and verbally
  • Strong quantitative analytical skills with proven ability to process large datasets into meaningful information, identify patterns, problems or analysis opportunities
  • Ability to thrive in a dynamic and fast-paced environment, balancing multiple responsibilities, adapting to changing priorities and meeting strict deadlines
  • Ability to identify key business metrics and develop reporting to track them
  • Ability to work within a team environment, as well as independently
28

Balance Sheet Management Analyst Resume Examples & Samples

  • Support the firm’s issuance platforms including: trade maintenance and support, debt indenture compliance, management and regulatory reporting
  • Assist with the updating the Firm’s RCAP tool to provide senior management with daily reporting of the firm’s capital adequacy
  • Bachelor’s Degree in relevant field
  • Looking for motivated and focused individual who can assist in projects
  • Ability to achieve task within established deadlines
  • Strong data management and analysis skills
  • Excel Strong Excel skills
29

Balance Sheet Analyst Resume Examples & Samples

  • Responsible for forecasting corporate balance sheet and metrics for monthly, yearly, and long range plan cycles
  • Manage use of Hyperion Strategic Finance, including working with admins to maintain metadata. Become familiar enough with HSF to run various M&A and Long Range Plan modeling / cash flow scenarios
  • Assist with monthly cash flow forecasting
  • Create and maintain monthly working capital analyses, as well as “waterfall” analyses for use in analyzing all aspects of working capital
  • Work with business units on a regular basis to understand working capital forecasts
  • Assist in capex planning process and reporting
  • Responsible for generation and review of various aspects of monthly estimate reporting package and monthly required reports for various managers
  • Prepares regular reporting packages and additional schedules using Excel Essbase add-in, Oracle Smartview, and Oracle Financial Reporting
  • Generates ad hoc management reports and/or analysis as needed by senior management
  • Working knowledge of general ledger, financial statements and processes, financial analysis
  • Advanced to expert computer skills with MS Excel
  • Experience with Hyperion Essbase Add-In, Hyperion Planning, and Oracle SmartView
  • Familiarity with advanced modeling techniques to assist with long range planning forecasting for an integrated P&L, Balance Sheet, and Cash flow statement
  • Excellent problem solving skills and sound judgment
  • Demonstrates initiative and meets deadlines
  • Ability to communicate effectively
  • Understanding of corporate policy, philosophy, goals and objectives in order to affect financial oversight in protecting the company’s information and assets
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Citi Treasury Investments FX & International Markets Balance Sheet Management Analyst Resume Examples & Samples

  • Knowledge of derivatives pricing and risk management models
  • Minimum 1 year of work experience in financial markets in an analytical/quantitative role
  • Capable of working collaboratively across many groups in different regions
  • Highly motivated and interested in learning about FX and interest rate markets and overall Balance Sheet Management