





High due to Tier-1 brand, common finance analyst title, mid-level experience band, and metro hiring pool.
High because the role requires banking-specific skills, stress-testing, capital markets and forecasting domain expertise.
High because of explicit 5+ years requirement, preferred CA/CMA/MBA and mandatory finance tools experience.
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Lead financial research, reporting, and consulting initiatives for a specific business unit or product within Capital Markets.
Execute and oversee complex forecasting models related to balance sheet and net interest income, ensuring compliance with governance and control standards.
Collaborate with finance, risk groups, and senior management to drive process improvements, manage model risks, and support strategic financial planning and stress testing efforts.
5+ years of finance experience or equivalent demonstrated through work, training, military, or education.
Experience in financial analysis, forecasting, and management reporting in capital markets or banking sectors.
Proficiency in Microsoft Office, with exposure to financial/accounting tools like Oracle Financials, Essbase; knowledge of Power BI, Tableau, or Alteryx is a plus.
No explicit mention of mandatory degrees, notice period, or location requirements.
Experienced in managing complex financial models and forecasting processes in a capital markets environment with exposure to stress testing and risk management.
Demonstrates strong analytical and technical skills with the ability to make independent decisions while collaborating across geographically diverse teams.
Skilled in driving process re-engineering, change management, and delivering strategic recommendations to senior management based on in-depth financial insight.