STATE STREET CORPORATION
POSITION OVERVIEW State Street Corporation (NYSE STT) is the world's leading provider of financial services to institutional investors including investment servicing, investment management and investment research and trading. With $33.5 trillion in assets under custody and administration and $3.1 trillion in assets under investment management as of June 30th, 2020. State Street operates globally in more than 100 geographic markets and employs 39,000 worldwide. Global Treasurys mission is to manage the balance sheet of State Street including credit, interest rate, liquidity, and capital risk management, while seeking to optimize net interest income (NII) within our risk appetite.
The Capital Management group within Global Treasury is responsible for Global Capital Policy, Capital Planning & Strategy, the CCAR Stress Testing program, and Recovery & Resolution Planning (RRP). PRIMARY DUTIES AND RESPONSIBLITLIES The successful candidate is an experienced organizational leader, has relevant large financial institution experience in the Capital Management space and can work effectively as part of a global cross- functional Treasury team. The candidate is expected to Lead specific capital management activities on behalf of the Global Capital Management team across a range of responsibilities, including regulatory and corporate reporting and dashboards, management of the certain activities in developing the quarterly baseline and periodic stress capital positions, and developing, maintaining, and owning certain forecasting models and tools to support stress testing and recovery and resolution planning (responsibilities to be further defined based on candidates specific experience) Supervise India Capital Management team by managing day-to-day management responsibilities including performance, hiring, and resource allocation. Support career development and growth opportunities for India team, coordinating with other India managers in Treasury, Finance and State Street as a whole Lead the coordination of the India Capital Management team with their peers, business unit and corporate functions counterparts within and outside of Treasury, to ensure timely execution of departmental deliverables Coordinate resources to address broad array of requests from regulators, Enterprise Risk Management, Corporate Audit, Model Validation, and other independent corporate oversight partners Envision and initiate continuous improvements across existing capital management processes and tools, and respond to and coordinate with oversight partners to enhance governance and oversight Lead longer term departmental projects against established work plans Work with IT and other corporate functions to advance transformation efforts and to incorporate the latest technology tools to enhance the Capital Management process and to ensure methodologies are appropriately implemented in production systems Lead and complete ad-hoc assignments as needed, and demonstrate willingness to work collaboratively with other team to meet corporate and departmental objectives on or ahead of schedule QUALIFICATIONS Bachelors Degree, MBA preferred 15-20 years of financial services experience, with a particular focus in Capital Management or other similar Treasury Management disciplines Knowledge of key regulatory and business drivers of capital management and decision making and their impact on overall Treasury and corporate wide risk metrics and performance Project management experience and strong organizational skills, demonstrated ability to organize work and drive projects over the finish line with tight timeframes Mastered proficiency in Excel, PowerPoint, Word, and other reporting/visualization tools Strong oral and written communication skills; comfortable presenting results to key stakeholders and senior management
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