Enterprise Capital Management (ECM) is a global team of more than 100 professionals responsible for the efficient and prudent management of the Corporation's as well as its subsidiaries' capital across the enterprise globally. ECM implements the Board's capital management strategy including issuance, redemption or repurchase of common stock and other capital instruments. ECM works closely with lines of business and guides them to efficiently and proactively manage the enterprise's capital including design and implementation of capital allocation methodologies. ECM also recommends capital related financial resource limits to senior management. In addition, ECM produces and monitors regulatory and internal economic capital metrics including capital adequacy ratios, leverage exposure and risk-weighted assets and oversees the end to end capital measurement process across the enterprise. Partnering with other control functions, ECM manages external disclosures related to capital management including 10Q, 10K, Pillar 3 disclosures and other regulatory filings. ECM interfaces with banking regulators globally on all capital related matters.
This role resides within Global Markets Capital management team (a subset of Enterprise Capital Management). Candidate will focus on driving complex calculations and reporting of capital for Global Markets transactions, including consideration of any new regulations.
Other key responsibilities include:
Serve as the subject matter expert on risk-weighted assets for these business
Solid knowledge of current Basel capital rules, including counterparty credit risk calculations , CVA and market risk rules
Solid knowledge of new Basel capital rules, including SACCR and FRTB
Identify and drive execution of RWA optimization opportunities (both advanced and standardized); evaluation and monitoring GSIB capital surcharge
Collaborate with business partners including line of business, risk, legal and finance and data/calculations teams to ensure appropriate RWA calculations and represent capital on cross-functional initiatives
Provide detailed / technical analysis of the impact of new or changing regulations and develop options for potential advocacy, including QIS work
Build relationships with partners and ensure appropriate level of capital knowledge
Required Skills and Experience:
Technical background, including Engineering or Technical Sciences
8+ years of experience with Global Markets products and businesses
Strong business and financial acumen; ability to simplify complex technical subjects and quantitative analysis
Solid communication, organization, presentation, analytical and leadership skills
Attention to detail coupled with ability to simplify the complex
Strategic thinker that can understand complex business challenges and potential solutions
Experience and ability to work collaboratively with risk, legal and finance and interface credibly across various business partners at both junior and senior levels
Proficient in Python and SQL
Proficient working with large databases, experience with data mining
Advanced knowledge of Excel and PowerPoint
Ability to oversee large multi-dimensional and complex technical projects
This role may be filled as a Capital Management - Finance Manager or a Capital Management - Senior Financial Analyst based on skills and experience.
Bank of America is one of the world’s leading financial institutions, serving individual consumers, small and middle-market businesses, and large corporations with a full range of banking, investing, asset management and other financial and risk management products and services. The company offers industry-leading support to approximately 3 million small business households through a suite of innovative, easy-to-use online products and services. Bank of America is a global leader in wealth management, corporate and investment banking and trading across a broad range of asset classes, serving corporations, governments, institutions and individuals around the world.