The Capital Management group within Global Treasury is responsible for the following functional areas: Capital Policy, Capital Planning, Capital Structure, Rating Agency relationships, Stress Testing and end-to-end program management for the Federal Reserve\'s annual Comprehensive Capital Analysis and Review (CCAR). Besides that the Capital Management team is responsible for coordinating and managing internal capital adequacy assessments (e.g. ICAAP, ORSA, etc.) for various entities of State Street. Principal responsibilities of the Capital Management group are interpreting and developing strategies for new and pending capital related regulatory requirements, development of the annual Capital Plans, execution of the capital adequacy process for State Street Corporation, the execution of regulatory driven internal capital adequacy assessments for various entities of State Street and frequent Board and senior management communications and reporting. Global Treasury (GT) is responsible for overall balance sheet management including credit, interest rate, and liquidity risk management. This position will remotely support the International -based Capital Management team through daily, weekly, monthly and quarterly responsibilities for capital assessments of legal entities located in Europe, Middle East and Canada. Responsibilities: The responsibilities primarily include the support of the firm\'s capital adequacy assessments, monitoring and planning processes, including, but not limited to, the following: Capital adequacy assessment reporting, particularly supplementary assistance with the team\'s key monthly presentation provided to senior management and regulators Supporting the modeling associated with Capital Management and in particular with ICAAPs Reporting to include written analyses, commentary, slides, spreadsheets and documentation as requested and communicate to management as needed Maintenance of all documented processes and procedures Contribute to ad-hoc reporting requests when necessary Support ICAAP related PMO work Develop knowledge of State Street\'s business to understand the key drivers of capital requirements and various regulatory capital treatments Qualifications: Experience in financial services with exposure to capital management, capital forecasting, ICAAPs, legal entity accounting or finance, or risk management Must be able to work in a fast paced environment Experience in financial services by way of co-ops, internships or higher education classroom experience with a focused interest in treasury or financial services Advanced skillset in Microsoft Office, particularly Excel and PowerPoint Strong reasoning and analytical skills comfortable performing ad-hoc analyses and assessments, often under short deadlines Self-starter with intellectual curiosity, strong attention to detail and project management skills Strong oral and written communication skills Must be team oriented Desire to learn about Capital Management, Global Treasury and State Street
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