In this dynamic leadership position on our Treasury team, you will be accountable for team(s) responsible for analyzing, modeling, and interpreting capital and Profit & Loss (P&L) implications. In this role, you will be accountable for the team(s) responsible for preparing corporate strategy analytics, market-based benchmarking, trend, scenario and business plan analysis on capital requirements, capital allocation, optimization and effectiveness of business and/or enterprise strategies as needed.
THE IMPACT YOU WILL MAKE
The Senior Director Capital Management role will offer you the flexibility to make each day your own, while working alongside people who care so that you can deliver on the following responsibilities:Plan consolidation, validation, and preparation of quarterly regulatory capital reporting and submit to regulatory agencies. Interact and respond to regulators regarding the firm’s capital requirements.Select assumptions and scenarios to perform baseline capital forecasting, DFAST and MST stress testing, key assumption sensitivities, and other analytics and reporting as necessary.Set goals for corporate strategic plan analysis and assess capital and profit and loss implications.Set strategy for development and implementation of metrics and methodologies for capital adequacy, allocation, and optimization strategies.Inform senior management, including the Board of Directors, about the results of competitive analysis and benchmarking. Lead and manage a team of experienced professionals.