1+ months

Specialist, Recovery and Resolution Planning (Treasury and ALM)

BNY Mellon

The Recovery and Resolution Planning team within the AssetLiability Management group of Corporate Treasury is responsible for financialprojections to support the development and ongoing maintenance of annualRecovery and Resolution Plans (RRPs) to meet regulatory requirements. The teamis also responsible for the periodic forecasting of resolution related capitaland liquidity metrics for distribution to senior management and regulators. Theteam develops reporting and crafts messaging for resolution metrics, the AssetLiability Committee and Fixed Income Committee presentations for distributionto senior management and regulators. This analyst position is primarily focusedon the development, production and presentation of financial projections.

Primary expectations of the role of the Principal FinancialAnalyst include:

Achieve regulatory deliverables, including production of financialprojections for annual RRPs, and drafting narrative as needed

Produce timely and accurate periodic forecasts of resolution-relatedmetrics Provide support to junior analysts to foster skill development andleadership

Partner with other team members to identify/develop enhancementsto forecasting capabilities

Assist with calibration and refinement of forecasting assumptionsand methodologies

Calculate resolution trigger metrics should actual stressedcircumstances impact the company

  • Cultivate professional, mutually supportive relationships with other groups across the institution


Qualified candidates willexhibit the following:

Bachelorsdegree or the equivalent combination of education and experience is required.Degree in math, engineering, statistics, computational finance or economicspreferred. MBA, CFA, or CPA/CApreferred

5-7years experience preferred; experience with financial services firms preferred

Highly advanced Excel and financial modeling skills

Familiarity (or ability to quickly develop familiarity) withresolution plan regulatory guidance

Ability to analyze large quantities of financial data, formulateconclusions and communicate these persuasively

Additional/Preferred skillsetsinclude:

Accounting,Treasury, liquidity management and / or regulatory capital knowledge

QuantitativeRisk Management (QRM), SQL or other programming language experience

  • Strong oral and written communications skills, particularly as it relates to complex financial data and narrating results
  • Willingness to challenge established processes / assumptions and to constructively dissent when appropriate
  • A deep comfort level with a fast paced and frequently changing environment
  • Ability to think strategically and from a broad view point
  • Effective time and process management skills

BNY Mellon is an Equal Employment Opportunity/Affirmative Action Employer.
Minorities/Females/Individuals With Disabilities/Protected Veterans.

Primary Location: United States-New York-New York
Internal Jobcode: 85267
Job: Finance/Accounting
Organization: Corporate Treasury-HR06004
Requisition Number: 1913460


Posted: 2019-09-20 Expires: 2019-12-20

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Specialist, Recovery and Resolution Planning (Treasury and ALM)

BNY Mellon

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