The Commercial & Investment Bank Treasury team plays a vital role in managing liquidity, balance sheet, and capital positions within the investment banking sector. This team collaborates with Global Treasury to develop stress assumptions and produce liquidity risk metrics, while also managing balance sheet and leverage ratios. The Commercial & Investment Bank Capital Controllers team focuses on reporting risk-weighted assets and capital, ensuring alignment with the capital framework and providing insights on capital usage. We seek a strategic thinker to join our high-performing finance team, offering valuable analytics and insights to promote results and support Commercial & Investment Bank management and corporate partners. As an Associate within the Corporate and Investment Bank Treasury Capital Controllers team, you will serve as a strategic thinker and trusted advisor to Corporate and Investment Bank management and Corporate partners. You will offer clarity on leveraging analytics to gain insights, evaluate metrics, and promote results. Your role will encompass Basel III Risk-Weighted Assets for Secured Financing Transactions (Repo-Style, Margin Loans) with a focus on delivering detailed analytics and reporting of results for these products.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees