and techniques. Determine customer's intended uses for a financial analysis or model.
- Conduct capital analysis or forecasting, which may include scenario or sensitivity analysis, stress testing, or attribution analysis.
- Execute models and/or interpret model results. Translate the results from the analysis or models for the customer into understandable conclusions.
- Work directly with model builders to vet new models, suggest changes to existing models, or analyze model performance data.
- Perform data and systems analysis, validation, and regression testing.
- Analyze corporate strategic plans, and assess capital and PnL implications.
- Develop and implement metrics and methodologies for capital adequacy, allocation, and optimization strategies.
Qualifications
THE EXPERIENCE YOU BRING TO THE TEAM
Minimum Required Experiences
- 2 years
- Skilled in Python, SQL, Excel, and Tableau
- Skilled in presenting information and/or ideas to an audience in a way that is engaging and easy to understand
- Experience in the process of analyzing data to identify trends or relationships to inform conclusions about the data
Desired Experiences
- Bachelor degree or equivalent
- Skilled in the graphical representation of information in the form of a charts, diagrams, pictures, and dashboards with programs and tools such as Excel, Tableau, or Power BI
- Working with people with different functional expertise respectfully and cooperatively to work toward a common goal
- Experience gathering accurate information to explain concepts and answer critical questions
- Programming including coding, debugging, and using relevant programming languages
- Business Insight including advising, designing business models, interpreting customer and market insights, forecasting, benchmarking, etc.