





Strong employer brand and mid-level finance role attract many applicants, though banking specialization narrows the pool.
Requires CIB markets, forecasting and stress-testing expertise, limiting transferability across industries.
Explicit 5+ years, banking domain expertise, certifications and specialized tools make screening stringent.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Lead complex financial research, reporting, and consulting initiatives supporting specific business units or products.
Advise companywide on complex financial and economic analysis to support management decision making and forward financial planning.
Drive financial performance management including product pricing, portfolio performance, forecasting, compliance with reporting standards, and implementation of multi-line business initiatives.
5+ years of finance experience or equivalent through work, training, military, or education.
Mandatory knowledge of finance reporting, forecasting, and financial analysis related to capital markets and stress testing.
Experience with forecasting models, balance sheet and net interest income projections, and compliance with forecast governance is required.
Not explicitly mentioned in the JD: mandatory degrees or specific certifications, location or notice period explicitly.
Experienced in complex financial modeling and reporting within capital markets or similar financial sectors, with strong analytical and presentation skills.
Demonstrated ability to lead cross-functional initiatives and collaborate with senior management and geographically diverse teams.
Proficient in advanced Microsoft Office tools; knowledge of financial software such as Oracle Financials, Essbase and data visualization tools like Power BI or Tableau is a plus.