Bank of America Reporting and Governance Senior Analyst in Charlotte, North Carolina

Job Description:

This is a dynamic and challenging role on the Market Risk Portfolio Analysis team which requires an individual who excels at working with various groups to produce high quality work. This role works with Market Risk Managers, Risk Analytics, other Support partners and Enterprise teams to meet and exceed both regulatory and internal requirements. This position requires the ability to meet competing demands under short timelines while also maintaining an utmost attention to detail as the materials this position produces may be shared directly with senior risk leaders and regulatory agencies.

Responsibilities include:

• Analyze portfolio level Value-at-Risk and other risk metrics

• Identify trends in risk measures and work with product risk managers to understand key drivers

• Managing the market risk stress testing process

• Assist in the continuous improvement of the stress testing process

• Production of regular reporting to support both internal and regulatory requirements

• Assist in building and maintaining processes to support firm level risk reporting requirements

• Ensure that requirements are met in both terms of quality and timeliness

• Support senior management in presenting market risk information in a clear and easy to understand format

• Escalate concerns and trends to facilitate decision making by senior management

• Coordinate with Market Risk Technology to improve and develop tools to support firm level risk reporting and analysis

• Develop automated excel/python tools to assist with analysis, as necessary

Required Job Skills:

'• Strong verbal and written communication skills; ability to succinctly summarize observations from a range of sources and present a high quality product for senior management

• Ability to manage large projects with tight deadlines

• Strong work ethic and the ability to drive results

• Very strong attention to detail

• One to two years of experience in a Market Risk related role with knowledge of Value-at-Risk, stress testing, and conventional risk management techniques.

Desired Job Skills:

• Microsoft Office Proficiency: Excel/PowerPoint/Word

• Excel/VBA/Python preferred

• Degree in Finance, Mathematics, or Economics preferred

Posting Date : 08/28/2017

Location : US-NC-Charlotte

Travel : No

Full / Part-time : Full time

Hours Per Week : 40

Shift : 1st shift

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