The Company is an independent boutique consulting firm that have extensive global experience and industry recognition in the financial services, risk management and finance communities.
* a boutique consulting firm focused on risk, finance and strategy, they deliver innovative concepts and methodologies based on specialist experience and analytical backgrounds
* across multifaceted competencies of risk, finance and strategy they overcome the traditional silo thinking and offer client-specific solutions as well as sustainable implementation development strategies
* people driven they allow members of all levels to actively participate in the running and development of their young firm
They are looking for an individual who has:
* years of experience in consulting for financial services and/or the banking industry (risk management, balance sheet management or finance business planning).
* academic background with a post-graduate degree in an analytical field.
* experience in (i) finance business planning, (i) treasury/balance sheet management, and/or (ii) quantitate modelling (credit risk IFRS9 modelling).
* the bank’s operations, processes and tools to forecast the full portfolio: Retail, Wholesale, Treasury: across risk, finance, funding, liquidity, capital etc.
* skills in structuring calculation frameworks (e.g. inputs, scenarios, mathematical logic, linkages and integrations).
* skills such as trend analysis, linear regression, migration matrices, and replicating finance business logic are a requisite.
* in programming languages and data structures such as SAS, SQL, Python, Excel, VBA. PowerBI or other MI user interface software would be an advantage.
* to navigate large stakeholder groups while attaining the best solution despite various constraints.
* and ability to navigate uncertainty with strong stakeholder and team management skills.
If you have relevant experience and looking for the next step in your career as an Integrated Forecasting Manager.
Apply Now!