Head Capital forecasting, Group and Solo
Job Details
Full Job Description
Join Our Team as a Head Capital Forecasting, Group and Solo
Are you ready to take the reins in driving
accurate forecasts for Capital, RWA, and Leverage in a dynamic
financial environment? We are seeking a visionary Leader to shape the
future of our Capital management and forecasting.
Join a globally recognized financial institution committed to
pioneering advancements in banking. We seek an astute leader to
spearhead our mission to enhance transparency and forecasting
precision within the Capital management sphere, influencing key
executive committees and driving strategic initiatives.
Key Responsibilities:
Strategy:
• Lead the
production of all Group and Solo MI related to Capital, including
Leverage and RWA forecasting for key executive committees.
• Develop and implement a strategic roadmap to enhance
forecasting capabilities, collaborating with leaders across the
business and GCFO.
Business:
• Spearhead Group-wide forecasting of Capital, ensuring
key drivers and implications are clearly communicated for effective
management.
• Provide insightful analysis on
forecast drivers, identifying risks and opportunities while ensuring
regulatory compliance.
• Act as a subject matter
expert on capital, engaging with regulatory bodies and Investor
Relations.
• Conduct peer analysis on
capital-related matters.
Processes:
• Lead capital forecasting processes, driving
improved accuracy, timeliness, and consistency of MI.
• Collaborate with stakeholders to ensure accurate
incorporation of relevant inputs into forecasts.
• Review the impact of corporate transactions on capital metrics and
ensure alignment with forecasts.
• Lead
governance matters such as BCBS239, PCF, and internal audits.
• Drive changes to enhance capital forecasting
processes.
People & Talent:
• Lead and develop a high-performing Capital forecasting
team.
• Set the vision and culture of the team,
empowering members to deliver outstanding results.
• Contribute to talent management within GCFO and broader
leadership teams.
Risk Management:
• Ensure the forecasting process is robust, with
risks carefully managed and a clear path to improvement.
• Identify, understand, and manage risks to capital and double
leverage in collaboration with business, Treasury, FP&A, and Risk
teams.
Governance:
• Ensure a deep understanding of relevant capital regulations, the
Group's policies, and the regulatory framework.
• Document and control processes, escalating concerns promptly.
Key Stakeholders:
Collaborate with Treasury Management Team, Group
Treasurer, and Regional Treasurers.
Engage with
Finance Forum, ACFOs, FRM, CPM, and other key business
colleagues.
Qualifications:
• Deep
understanding of capital and the ability to work across geographically
diverse teams in businesses and functions.
• Chartered Financial Analyst or accounting qualification
preferred.
• Excellent written English skills
with the ability to communicate complex material accurately and
succinctly.
• Highly developed Stakeholder
Management skills.
If you are prepared to contribute to the future of finance and meet
the above criteria, we invite you to submit your resume through our
SCB Careers portal. Join us in reshaping the landscape of financial
forecasting and leadership.
Standard Chartered Bank is an equal opportunity employer.
Only shortlisted candidates will be contacted.