[Only 24h Left] Manager, Balance Sheet Analytics
5 days ago
Key Responsibilities Strategy Align and proactively contribute to execution of Balance Sheet Analytics BSA Actuals and Flash MI and Analytics specific strategic goals with respect to Balance Sheet Capital Liquidity IRRBB FTP in partnership with Group Treasury Cluster Treasury CPM Finance Technology stakeholders Identifying and implementing best practices to enhance analytics MI and optimisation value-addition Business BSA is fundamental to the performance of the Treasury function This role as Balance Sheet Analysts and SMEs coordinates the delivery of B S for Group and Clusters at client product segment transaction level views including high-quality insights through advanced analytics Part of this role mandate includes the cross-metrics analysis and insights to Treasury CPM and Finance covering B S explains that helps to optimise the liquidity buffers NII sensitivities and RWA overstatement The outputs include financial balance sheet MI as well as relevant B S metrics along with cross-metrics comparison and explanation Primary contact for all B S functional queries trends and explanation of movements to Treasury incl Capital Liquidity and IRRBB Cater to various decision support management information needs by partnering with BI team to deliver digital insight dashboards in our Bank s strategic BI platform Partner with Group and Country teams to prepare ALCO papers on topical subjects including data analysis proposals and coordination for inputs Processes Ensure accurate consistent and timely delivery of Balance Sheet MI including metrics in standard taxonomy across the markets in-scope of this role Produce advanced analytics content and advice for key decision makers forums e g ALCO Group Cluster Treasurer business heads Respond to queries from internal stakeholders Treasury CPM Finance requiring subject matter expertise and act as single point for B S explains and insights across Treasury CPM and Finance Balance Sheet Analyst provides quality assurance and control over the B S output to ensure completeness and accuracy of B S in BSA Team up with capital liquidity and IRRBB in providing explanation on B S movements and its implications across treasury metrics Provide B S explains that supports the finalizing of Daily Weekly Liquidity ratios Leverage ratio and other periodic Balance Sheet Reviews e g Weekly BSR - sources and uses client product level drill down of material movements etc Investigate explain and help resolve the B S anomalies e g Suspense a c issues Nostro spike as single B S point contact Supporting the transition of changes into BAU effectively that is aligned with the Bank s regulatory and technology objectives Engage with Business teams CIB WRB TM CT and OB teams to comprehend drivers of B S movements and issues Partner in B S optimization limit policy review initiatives thro empirical data analysis trend analysis proposal preparation and gathering its implications across treasury metrics Data sourcing and preparation for ALCO pack production Produce and quality-assure reports on a timely basis Use tools and SPOCs e g the balance sheet analyser RCO BCRS to assess and understand what drives movements in B S metrics where relevant incl a read-across metrics Draft initial commentary accompanying numerical outputs and liaise with recipients as required People Talent Planning and getting work done through resources though not reporting directly effectively to meet management information commitments Providing guidance training and mentorship to the GCFO India team on functional BSA knowledge best practices and B S strategies Building relationships to improve collaboration across Group Cluster Segments CPM and GCFO functions to resolve issues and implement changes for BSA Risk Management Monitoring and ensuring that appropriate BAU and Change governance and controls are followed across all production and transformation activities Proactively contribute to maintenance of comprehensive documentation of reporting processes standards and controls Coordinating with internal and external auditors to facilitate audits and reviews Identifying monitoring and escalating as and when required key issues in the regulatory reporting process leading to material errors in regulatory returns Governance Monitor and ensure that appropriate Change governance is followed across all transformation initiatives Represent the function at the governance forums in place for tracking change initiatives and influence decisions in respect of the change backlog prioritisation choice of technology tools and the operating model Leadership Qualities Characteristics Upholding high ethical standards and ensuring all reporting activities are conducted with integrity and transparency Promoting a culture of diversity and inclusivity compliance and ethical behaviour within the team Inspiring proactive and innovative behaviours in the team to continuously improve performance and strive for excellence Regulatory Business Conduct Display exemplary conduct and live by the Group s Values and Code of Conduct Take personal responsibility for embedding the highest standards of ethics including regulatory and business conduct across Standard Chartered Bank This includes understanding and ensuring compliance with in letter and spirit all applicable laws regulations guidelines and the Group Code of Conduct Lead the Group or Cluster teams to achieve the outcomes set out in the Bank s Conduct Principles Fair Outcomes for Clients Effective Financial Markets Financial Crime Compliance The Right Environment Effectively and collaboratively identify escalate mitigate and resolve risk conduct and compliance matters Key stakeholders Global Process Lead Global Process Manager Balance Sheet Management and Regulatory Reporting Group Treasury COO FP A - Group Head GCFO India Head and Leads CPM - Functional Heads and Leads Segment - CIB WRB Treasury C O Head and Leads across Group and Clusters Change Management - Head and Leads across Treasury Change Cluster and Country Treasury Finance Qualifications MBA Fin or Master s in finance Accountancy Economics or affiliated subjects Undergraduate degree in Commerce Science Engineering Chartered Accountant Risk Management or related Professional Certification will be an added advantage Minimum of 5 years of experience in any combination of Balance Sheet Management Capital Liquidity FTP or IRRBB Strong knowledge of Balance Sheet including explains analytics of trends engaging with business effectively to understand the drivers of movements strong in comparing actuals flash forecast internal thresholds with an aim to optimise balance sheet and advise key stakeholders in Segments CPM and Treasury Good understanding of banking products accounting basics Capital Liquidity IRRBB FTP metrics and its binding constraints to grow balance sheet Proficient in analytics to drive deep understanding of B S trends and its implications Collaboration mindset able to deliver solutions to improve B S Skills and Experience Technical Understanding of the bank s products and services with specialisation in atleast one of FM CIB or Treasury products Financial Reporting skillsets experience Fundamental understanding of Balance Sheet Management Regulatory reporting experience Conceptual knowhow of Balance Sheet Management metrics and its calculation methods - Liquidity IRRBB Capital Soft Skills Very good written and verbal communication skills Proven analytical abilities and used to work in complex global commercial business operations Proven ability to interact with multiple functions levels and to coordinate deliverables from various inputs under tight deadlines Flexibility and adaptability to changing business models and multi facet business views Results orientated able to work under tight timeline pressure Excellent Interpersonal Communication Strong Business Writing skills Technology orientation what will give the candidate an edge Knowledge of Python SQL Platforms Knowhow in deploying AI and ML solutions to mechanise processes and achieve scale Priority Technical Skills Balance Sheet Management Capital Management Liquidity Management Interest Rate Risk IRR Management Liquidity Risk Credit Risk Market Risk Operational Risk Financial Products and Markets Financial Analysis Reporting Data Gathering Risks Controls Other Technical Skills Financial and Accounting Systems Standard Operating Procedures Financial Process Documentation Product Line Financial Markets FM Product Line Transaction Banking TB Data Analysis and Visualisation Business Acumen Communication About Standard Chartered We re an international bank nimble enough to act big enough for impact For more than 170 years we ve worked to make a positive difference for our clients communities and each other We question the status quo love a challenge and enjoy finding new opportunities to grow and do better than before If you re looking for a career with purpose and you want to work for a bank making a difference we want to hear from you You can count on us to celebrate your unique talents and we can t wait to see the talents you can bring us Our purpose to drive commerce and prosperity through our unique diversity together with our brand promise to be here for good are achieved by how we each live our valued behaviours When you work with us you ll see how we value difference and advocate inclusion Together we Do the right thing and are assertive challenge one another and live with integrity while putting the client at the heart of what we do Never settle continuously striving to improve and innovate keeping things simple and learning from doing well and not so well Are better together we can be ourselves be inclusive see more good in others and work collectively to build for the long term What we offer In line with our Fair Pay Charter we offer a competitive salary and benefits to support your mental physical financial and social wellbeing Core bank funding for retirement savings medical and life insurance with flexible and voluntary benefits available in some locations Time-off including annual leave parental maternity 20 weeks sabbatical 12 months maximum and volunteering leave 3 days along with minimum global standards for annual and public holiday which is combined to 30 days minimum Flexible working options based around home and office locations with flexible working patterns Proactive wellbeing support through Unmind a market-leading digital wellbeing platform development courses for resilience and other human skills global Employee Assistance Programme sick leave mental health first-aiders and all sorts of self-help toolkits A continuous learning culture to support your growth with opportunities to reskill and upskill and access to physical virtual and digital learning Being part of an inclusive and values driven organisation one that embraces and celebrates our unique diversity across our teams business functions and geographies - everyone feels respected and can realise their full potential 42888
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