





Strong Tier-1 brand, mid-level finance role in metro, and broad skillset increase competition.
Requires specialized capital-markets, stress-testing, and forecasting expertise, limiting cross-industry transferability.
Explicit 5+ years finance requirement plus domain-specific forecasting, compliance, and modeling skills raises strictness.
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Lead complex financial research, reporting, and consulting initiatives for a specific business unit or product within capital markets.
Manage and deliver accurate financial forecasts including balance sheet, net interest income, and related stress testing processes collaborating cross-functionally with finance and risk teams.
Drive implementation of complex initiatives, improve forecasting models, and maintain compliance with forecast governance and internal controls.
Minimum 5 years of Finance experience or equivalent via work, training, military, or education.
Experience with financial/accounting tools such as Oracle Financials and Essbase.
Must be able to work rotational shifts as per job expectations.
Work Experience Required: 5+ years in Finance or equivalent as specified.
Strong background in financial analysis, management reporting, and forecasting within capital markets or banking sectors.
CA, CMA, or MBA graduate with experience in financial or banking sectors preferred.
Experienced in working with geographically diverse teams and skilled in communications and presentations to senior management.