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Showing posts with label Analyst. Show all posts
Showing posts with label Analyst. Show all posts

Wednesday, 18 July 2012

Financial Analyst

Details: Adecco Group, a world leader in the recruitment of professionals, has immediate Financial Analyst openings for the Arlington area!!The Investor Business Solutions team objective is to provide Investors with viable mortgage servicing solutions to align with our business strategies and operational Goals.Qualifications: 5+ years experience in mortgage loan servicing Extensive experience in foreclosure and REO servicing functions preferred 2+ years in mortgage default is preferred Extensive experience reading/understanding loan contracts and documentation Excellent practical understanding of investor servicing contracts (PSA/GSE) Excellent analytical skills Excellent writing skills Strong PC skills required including Microsoft Office products and using database software Proficiency with Chase mortgage loan servicing and documentation platforms preferredPlease apply online www.adeccousa.com and submit your resume to The Adecco Group is a Fortune Global 500 company and the global leader in HR services. Our group connects over 700,000 associates with our business clients each day through our 6,600 offices in over 70 countries and territories around the world. We offer employment opportunities at any stage in your professional career. Contact us today to discuss available contract and direct hire positions. Adecco Group offers benefits including Holiday, 401(k), Insurance Benefit Plans and Service/Anniversary Bonus opportunities. Adecco Group is an Equal Opportunity Employer.

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Sunday, 15 July 2012

Sr Risk Analyst – Loss Forecasting /Stress testing

Details: Business SegmentCapital - Retail FinanceAbout UsXRole Summary/PurposeGE is an equal opportunity employer, offering a great work environment, challenging career opportunities, professional training and competitive compensation.This position is a business critical role supporting delinquency & loss forecasting and stress testing for the entire Retail Finance organization covering Private Label Credit Cards, Dual Cards, Sales Finance Closed End, and Commercial programs.Essential Responsibilities• Responsible for maintenance and enhancement of existing forecast models for Retail Finance; development of new framework(s) for best in the industry delinquency and loss forecast capabilities for the near, medium, and long term period. • Participate in corporate-wide stress testing projects, coordinating within Retail Finance and with GE Capital to provide stress loss results based on firm-wide scenarios.• Provide critical inputs with respect to loss and delinquency expectations into several processes including ALLL, Late fee forecasts, Net Income Estimates, etc. during all formal business planning sessions as well as any sensitivities that may require evaluation from time to time, such as geographic/ regulatory/ economic events. • Participate in the roll out and integration of updated stress testing models; Execute Retail Finance back-testing and sensitivity analysis on stress testing results.• Maintain documentation / controllership for loss forecasting and stress testing processes; support business efforts for regulatory preparedness. • Lead/participate in several small and large analytical projects to identify underlying portfolio performance drivers such as collections strategy, portfolio mix, change in terms, etc.• Prepare updates on credit cost and delinquency performance and forecasts for scheduled reviews with senior business leadership within Retail Finance and with GE Capital leadership.Qualifications/Requirements• Bachelor’s degree in Science, Business or related analytical field• 5+ years’ experience in loss forecasting, reserve management process (ALLL), stress testing, risk analytics in Credit Card industry• 3+ years’ SAS programming experience and proven ability to work with and execute analysis on large amounts of data with relative independenceDesired Characteristics• Familiarity with regulatory / Basel framework • Experience using industry loss forecast tools, econometric modeling • Advanced SAS/ SQL experience• Experience in project management• Very strong spreadsheet skills• Strong communication and presentation skillsGE is an equal opportunity employer, offering a great work environment, challenging career opportunities, professional training and competitive compensation.

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Friday, 13 July 2012

Collateral Analyst - Title Curative

Details: Classification:  Loan Servicing Compensation:  $20.00 to $26.00 per hour Irvine organization seeks 2 candidates with consumer mortgage collateral experience. Will be responsible for reviewing all collateral documents including identifying title and note of ownership, chain of title, and exceptions. If interested in this opportunity, please email your resume to Dennis Dawson at

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Wednesday, 11 July 2012

Funding Analyst -

Details: Contract/Temporary position. Administration of insurance plans, informal non qualified plan funding, Split Dollar, Executive Life, BOLI, and Income Disability.Knowledge of qualified or non-qualified benefit plan administration, life insurance, finance, accounting, financial modeling or other technically oriented benefits-related field is preferred Basic financial acumen with strong math skills/Undergraduate degree in related field and/or relevant experience highly preferred. We are an equal employment opportunity employer.

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Sunday, 8 July 2012

AZ Senior Credit Analyst

Details: Analyze borrower provided financials to determine eligibility for Commercial loans.  The candidate must also be able to identify key credit risks, make sound loan structuring recommendations, and utilize trend analysis in executive level reports.  Responsibilities also include loan portfolio management, ad hoc borrower analysis, and in limited cases, customer interaction to gather and examine financial data. Position

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senior treasury analyst, Capital Markets

Details: Job Summary and MissionThis job contributes to Starbucks success by providing the analytical support for managing the $2 billion cash and investment portfolio and for measuring/hedging the market risk exposures (foreign exchange, commodity, and interest rates).  Models balance sheet and cash flow forecasts along with related key performance indicators. Executes Treasury transactions to ensure that Starbucks is efficiently funded and financial risks are managed in accordance with policy and procedures. Models and acts in accordance with Starbucks guiding principles.Summary of Key ResponsibilitiesResponsibilities and essential job functions include but are not limited to the following:Creates financial models to analyze and determine the financial impact of recommended action plans. Incorporates accounting, tax and market factors where appropriate. Identifies issues and may make recommendations on alternative courses of action based on the analysis.Prepares accurate and timely financial reports for assigned business unit or department as appropriate to support reporting cycle or forecast and budget development. Consolidates, reconciles, validates and follows up on financial information provided by a variety of sources to develop forecasts and budgets. Prepares approval documentation and executes appropriate financial transactions.Provides financial support to cross-functional teams. Conducts analyses as needed to support project objectives.Provides mentoring and training to other partners on reports, systems and financial process flow.Recommends and may lead financial process improvements. May administer financial database, including user access control, system enhancements and data validation. Documents procedures and processes.Works with internal and external customers and vendors on service issues.

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senior treasury analyst, Treasury Operations — Seattle, WA

Details: Job Summary and MissionDo you have a have the ability to see the big picture while keeping the details in mind?  Are you strong with both treasury operations and analysis?  Are you strong at presenting your analysis to others, even non-financial individuals, and have it all make sense to them?  If you answered yes to these questions, the senior treasury analyst role with Starbucks Treasury Operations team may be right for you.  We are looking for a talented treasury professional who can:Build effective relationships and lead others without authorityProblem-solve technical and analytical questionsBe proactive and strategic in identifying opportunities for evolution and innovationThis job contributes to Starbucks success by executing Treasury transactions to ensure that Starbucks is efficiently funded and financial risks are managed in accordance with policy and procedures. Monitors investments and the introduction of new banking services and products to the Company. Models and acts in accordance with Starbucks guiding principles.Summary of Key ResponsibilitiesResponsibilities and essential job functions include but are not limited to the following:Creates financial models to analyze and determine the financial impact of recommended action plans. Incorporates accounting, tax and market factors where appropriate. Identifies issues and may make recommendations on alternative courses of action based on the analysis.Prepares accurate and timely financial reports for assigned business unit or department as appropriate to support reporting cycle or forecast and budget development. Consolidates, reconciles, validates and follows up on financial information provided by a variety of sources to develop forecasts and budgets. Prepares approval documentation and executes appropriate financial transactions.Provides financial support to cross-functional teams. Conducts analyses as needed to support project objectives.Provides mentoring and training to other partners on reports, systems and financial process flow.Recommends and may lead financial process improvements. May administer financial database, including user access control, system enhancements and data validation. Documents procedures and processes.Works with internal and external customers and vendors on service issues.

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Systems Analyst III

Details: Install, upgrade, maintain and troubleshoot third-party, vendor supported software used throughout the enterprise.  Work with other Corporate Technology departments to design and recommend solutions and improvements for enterprise applications.  Resolve problems between various enterprise applications, personal computer and server hardware and network infrastructure.  Work as a liaison between business units and vendors to provide working solutions to system issues. Position

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Treasury Analyst

Details: Whether your skills lie in patient care or administration and you prefer to work in not-for-profit health care, CHRISTUS Health facilities may have a career opportunity for you. CHRISTUS Health and our facilities are committed to being an equal opportunity employer as part of our on-going mission. It is the policy of CHRISTUS Health not to discriminate on the basis of race, color, creed, religion, gender, orientation, disability, age or national origin. Division:   CHRISTUS Health Headquarters (Irving) Work Schedule:   M-F Average Hours per Week:   40 Travel Involved:   0-10% Job Type:   Full-Time Relocation package offered:   Category:  Other The Treasury Analyst sets and monitors the daily cash position for the entire CHRISTUS system. This position is responsible for monitoring all reported cash transactions and providing detailed reports on the cash transactions and maintaining Treasury CMS software.The Treasury Analyst will execute cash borrowing and cash investment transactions and will ensure that adequate liquidity exist within the system to meet operating needs. The position will make the determination of short-term cash to be invested and anticipate short-term borrowing needs.The Treasury Analyst will assist the Cash Manager and Treasury manager with duties necessary to complete their tasks. This position will focus a significant amount of time on Treasury Workstation development and monitor Workstation output for accuracy.Additional responsibilities include monitoring corporate banking fees and operations, liquidity management, and developing cash management procedures and guidelines.CHRISTUS Health is committed to providing meaningful benefits for you and your family and to sharing with you the prosperity you help create. We support our health care teams with competitive compensation and an outstanding benefits package. Medical Health CoveragePrescription Drug PlanDental CoverageVision CoverageLong-Term DisabilityGroup Term LifeAccidental Death & Dismemberment

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Wednesday, 4 July 2012

Senior Commercial Credit Analyst

Details: Description We are a successful local bank with heavy ties in Latin America.We are currently seeking a Senior Commercial Credit Analyst to join our growing team.SENIOR COMMERCIAL CREDIT ANALYSTSummary of position:  Supports Lending function by providing analytical support to Credit Manager, Senior Lender,  and lending staff. Spreads financial statements and assists the Credit Manager in qualification assessment and analysis of the financial condition and the credit risk in financing requests within the framework of Bank credit policy and current economic and industry trends. Performs underwriting analysis of borrower’s character, credit worthiness, and financial condition and recommends approval or decline of the loan request  to the Credit Manager.  Prepares Offering Ticket and Credit Memorandum for presentation to credit approval officers or loan committees. Investigates all available sources of credit and financial information, including reporting services, credit bureaus, and agencies. Interacts with customers and accountants at direction of  the Credit Manager or Lending Officers to perform analysis. Develops credit information for use by senior credit personnel or lenders in lending decision. Minimum three years’ experience as a bank commercial credit analyst with substantial C&I (Commercial and Industrial) loan underwriting experience.

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Internal Controls Analyst

Details: Prestigious Global Financial Institution seeks a Junior Internal Controls Analyst for their Op's Risk Management Department to track dialy operations, including application review, reporting and genral enforement of the policy for resolving open issues...work on assessement function by executing internal control programs  and payment system risk, regulatory assessments, and business targeted reviews.Successful candidate will perform the administrative responsibilities of the issue tracking process as well as provide consultatin to businesses and departments throughout the Control Self-Assessment process.Please email resumes in ms format to

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Tuesday, 3 July 2012

Credit Risk Research Analyst, VP

Details: Prestigious Global Financial Institution seeks a Credit, Equity and Economic Research Analyst for their Corporate Research Division.Successful candidate will will contribute to credit process by giving recommendations fo fundatmental ratings, preparing Industry Monitors, selecting negative industries and or attending various internal credit mettings.  Give quality advice with regard to industry risk and or growth prospects.Comprehensive reports mainoly on Telecom, Media and Technology sectors including analysis on individual companies.  In-depth analysis of the industries, focusing on companies' financial performance and their competitive environment.Please email resumes in ms word format to:

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Monday, 2 July 2012

Risk Control Analyst - Houston, TX

Details: Shell Downstream encompasses all the activities necessary to transform crude oil into petroleum products and petrochemicals, and deliver them around the world. Our Downstream businesses refine, supply, trade and ship crude oil worldwide, and manufacture, transport and market fuels, lubricants, bitumen, LPG and bulk petrochemicals for domestic, transportation and industrial uses. Altogether, the organisation employs some 65,000 people in around 100 counties. Shell Trading supports the Shell businesses by trading natural gas, electrical power, crude oil, refined products, chemical feedstocks and environmental products, and managing the Group’s shipping activities. We sell crude oil to a wide range of customers within and outside the Shell group, and are active in most of the major crude oil markets. Our 50 years’ experience in the natural gas industry makes us one of the world’s most experienced marketers, with a supply portfolio that includes the largest equity share of liquefied natural gas (LNG) of any international oil company. At Shell our commitment is to satisfy the world’s need for energy with economically, socially and environmentally responsible solutions. We seek a high standard of performance, and understand that great ideas can change the world. If you want to work with a group of creative, ambitious and innovative professionals then you should consider Shell. We will provide you with the resources to put your ideas into action, worldwide opportunities to advance your career, and outstanding benefits and rewards that support your quality of life. Join us and let’s make a real difference together. Responsibilities : Report and explain PnL movements, mark-to-market, positions and value-at-risk (VaR), including stress testing, on a daily basis for oil trading desks with reference to prices, correlations and position changes Understand key price indices used by the desk and the construction of forward curves. Maintain and evaluate quantitative market data including price series (from brokers, 3rd parties and trader assessments), volatilities, correlations and volumes Understand trading account structure and exposures and P&L generated by the transaction types in the book. Provide monthly analysis of the gains & losses resulting from trading strategies employed by the desk Provide ad hoc analysis for queries relating to impact of new deals, P&L, positions and/or value-at-risk using trade systems and P&L reporting tools Monitor exposure limits daily within the Trading Control framework and Manual of Authorities Ensure traders enter deals accurately and in a timely manner and that commitments and exposures are entered in the trading system in line with the contract. Develop suitable exposure measurement and reporting methodologies for new product and structured contract offerings Provide validation of P&L including cost accruals & provisions, ensure forward parcels are appropriately valued and provide input into quarterly financial close processes and annual disclosure requirements Serve as backup analyst for other Crude and Product books and be available for short-term projects Promote and ensure accurate reporting to external pricing agencies and daily entry of prices into the trading system Liaise with other Risk Analysts globally to ensure consistency of approach, particularly across similar trading books Ensure activities are carried out with safety awareness and are performed in compliance with external regulation, the Shell Control Framework, SOX and Financial Reporting requirements and Shell Trading mandate and policies

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Treasury Analyst

Details: Treasury Analyst Key Job Responsibilities: Monitor cash requirements and maintain the cash flow forecasting model Initiate wires for payroll, 401(k), lot purchases, and internal transfers Disburse payments per special agreements as they relate to loan, financing or banking activities Primarily responsible for bank/check fraud avoidance, monitoring and resolution Serve as Primary Contact for Traditional Bank Services and Functions. Ensure costs for bank services are appropriate and reasonable Maintain and update Loan Summaries, wire transfer logs and amortization schedules as required Provide loan administration support (revolving lines of credit, construction loans, intercompany loans, etc.) as needed Provide user and admin support for all bank account balance and reporting application systems (BofA Direct, etc.) Create and Deliver internal and external reports as needed Maintain updated documentation on all procedures performed as the Treasury Analyst Participate in special projects

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