Full-Time

Enterprise Financial Risk Capital Risk Sr. Specialist

Confirmed live in the last 24 hours

Bank of America

Bank of America

10,001+ employees

Provides banking and financial services globally

Fintech
Financial Services

Compensation Overview

$81.4k - $124.5kAnnually

+ Discretionary Incentive

Mid, Senior

Charlotte, NC, USA + 1 more

More locations: New York, NY, USA

The job requires in-office presence at one of the specified locations.

Category
Risk Management
Finance & Banking
Required Skills
SQL
Financial analysis
Word/Pages/Docs
Risk Management
Excel/Numbers/Sheets
PowerPoint/Keynote/Slides

You match the following Bank of America's candidate preferences

Employers are more likely to interview you if you match these preferences:

Degree
Experience
Requirements
  • Strong analytical skills, including both analysis of financial data and written reports
  • 3-5 years of Treasury, Finance, Accounting or Risk Management experience. Note, Diverse backgrounds or experiences welcomed; however knowledge of capital rules and application of the rules and capital markets product knowledge a plus
  • Proficiency with PowerPoint and Excel. Writes in a clear, concise, organized, and convincing manner for the intended audience
  • Experience with SQL or other programming languages a plus. Role may require querying databases and/or building risk management dashboards
  • Strong business-centric mindset with ability to utilize sound business judgment and tailor approach to drive optimal business outcomes
Responsibilities
  • Review and challenge key capital management activities, including capital planning and forecasting (including CCAR Capital Plan and Recovery and Resolution Plans), capital risk appetite limits, Line of Business capital allocations and capital actions
  • Support EFR coverage of Basel 3 Endgame by executing capital calculation testing and performing review and challenge of regulatory rule interpretations and rule compliance documentation
  • Develop and demonstrate acumen for the identification of capital risks and mitigants (including market and economic environment and connectivity to other risk stripes)
  • Ensure understanding of the business processes that may increase our risk, as well as the mitigants to that risk
  • Assist in the establishment and execution of all Enterprise Risk Management Program requirements
  • Coordinate and conduct execution of risk framework activities that are the responsibility of EFR, including but not limited to independent review and risk assessment of front line owned processes (e.g. capital calculation, capital forecasting, etc.)
  • Conduct and ensure appropriate and adequate documentation for all independent risk reviews and risk points of view, including appropriate escalation and communication to Senior Management
  • Conduct and document risk’s acceptance and understanding of the capital impacts from new products and new transactions
  • Deliver effective review and challenge of front-line owned processes that generate or impact our risk or Capital position
  • Draft and communicate executive and committee messaging on a regular basis in a variety of formats, including power point and MS Word
  • Support corporate-wide risk related initiatives, including regulatory change
  • Enhance the Risk landscape, by ensuring our balance sheet and business model is appropriately stressed across a variety of scenarios, baseline to bankruptcy (resolution)
  • Provide subject matter expertise related to Capital risk management process and Capital stress testing to the Risk verticals teams, Corporate Treasury and other partners across the enterprise, in order to drive the execution of the stress testing framework and ensure Risks identified are reflected across all scenarios
Desired Qualifications
  • Diverse backgrounds or experiences welcomed; however knowledge of capital rules and application of the rules and capital markets product knowledge a plus
  • Experience with SQL or other programming languages a plus. Role may require querying databases and/or building risk management dashboards

Bank of America provides a wide range of financial services, including banking, investing, asset management, and risk management products. It caters to individuals, small and medium-sized businesses, and large corporations, serving around 56 million consumer and small business accounts in the U.S. The company's services include personal banking, credit cards, loans, and investment options. Bank of America stands out from its competitors by being a leading wealth management firm and a major player in corporate and investment banking and trading. The goal of Bank of America is to help clients achieve their financial goals through comprehensive financial solutions.

Company Size

10,001+

Company Stage

IPO

Total Funding

N/A

Headquarters

Charlotte, North Carolina

Founded

1904

Simplify Jobs

Simplify's Take

What believers are saying

  • Increased demand for digital banking boosts Bank of America's online service offerings.
  • Growing interest in sustainable finance aligns with Bank of America's ESG strategies.
  • Fintech partnerships enhance Bank of America's service offerings and customer experience.

What critics are saying

  • Increased competition in credit facilities may impact Bank of America's market share.
  • Uber partnership exposes Bank of America to risks from Uber's volatile business model.
  • Boeing's financial instability could affect Bank of America's loan repayment security.

What makes Bank of America unique

  • Bank of America is a global leader in corporate and investment banking.
  • It serves approximately 56 million U.S. consumer and small business relationships.
  • The bank is a leading wealth management company with diverse financial services.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

Paid Vacation

Paid Sick Leave

Flexible Work Hours

Remote Work Options

Professional Development Budget

Conference Attendance Budget

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