Bank of America Corporate Treasury Sr. Finance Analyst in Charlotte, North Carolina

Job Description:

The Corporate Treasury Finance Funding and Liquidity BFO team is responsible for but not limited to forecasting/stress testing, management reporting, business enablement, and aggregation of key storylines/themes. Responsibilities will require working actively with business partners to ensure to ensure efficient consistent messaging.

The ideal candidate will be a strong self-starter, maintain close attention to detail, be fundamentally inquisitive and want to understand the reasons behind a process, be comfortable working in a fast-paced environment, and capable of handling multiple high-profile priorities within tight deadlines. Additionally, the candidate will be expected to build strong working relationships with the Funding Desks, Balance Sheet Management (BSM), Global Liquidity Risk (GLM), and other finance peers.

Key Responsibilities:

  • Support LOB and finance partners by analyzing and reporting Corporate Treasury B/S and P&L

  • Monitor and research B/S and P&L activity for variances to plan and forecast

  • Create and present concise key themes and messages to management

Enterprise Role Overview

Responsible for more complex finance activities involving implementation of strategic plans, profitability analysis, forecasting and financial reporting for a business unit or associate area. Supports achievement of business goals by working on more complex activities or projects with others within the unit and with partners. Leads projects and coordinates resources. May provide supervision to a small staff. Can manage partner relationships.

Required Skills & Experience:

  • Bachelor’s Degree or equivalent related experience

  • 3-5 years in financial services with focuses in business finance support and forecasting

  • Experience with monitoring and researching Balance Sheet and P&L activity, planning and forecasting

  • Create and present concise key themes and messages to management

  • Experience presenting information to senior management

  • Previous work experience in Finance support roles

  • Strong interpersonal/communication skills

  • Excellent analytical and complex problem resolution skills.

  • Understanding of financial markets, accounting, and financial products.

  • Proficient in MS Office tools, especially advanced in Microsoft Excel

  • Ability to work with a high level of autonomy and make well-reasoned decisions.

Desired Skills and Experience:

  • Access/SQL skills

  • Bonds/Derivatives experience

Posting Date : 03/26/2018

Location :


  • United States

Travel : No

Full / Part-time : Full time

Hours Per Week : 40

Shift : 1st shift

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