Corporate Treasury, Recovery And Resolution Planning Modeling - Director (avp)

Morstan

Base: $110,000 to $140,000 py; bonus/equity: incen...
Advanced financial modeling skills
Experience with derivatives and secured funding
Strong quantitative and qualitative analysis
This role supports the development, implementation, and process improvements of the Global Recovery and Resolution Financial Models within the Corporate Treasury & Capital Planning Job Family

Job Summary

  • This role supports the development, implementation, and process improvements of the Global Recovery and Resolution Financial Models within the Corporate Treasury & Capital Planning Job Family.
  • The position involves managing regulatory deliverables, capital stress testing processes, and acting as a subject matter expert interfacing with governance bodies and regulators.
  • Morgan Stanley offers a collaborative and empowering work environment with comprehensive employee benefits and opportunities for career growth.

Matching Summary

This role supports the development, implementation, and process improvements of the Global Recovery and Resolution Financial Models within the Corporate Treasury & Capital Planning Job Family.

Salary

Base: $110,000 to $140,000 per year; Bonus/Equity: Incentive compensation, discretionary bonuses, other short and long-term incentives; Benefits: Comprehensive employee benefits and perks

Skills & Requirements

Must-have

  • Advanced financial modeling skills
  • Experience with derivatives and secured funding
  • Strong quantitative and qualitative analysis
  • Microsoft Excel and PowerPoint expertise
  • Regulatory submissions and governance management
  • Capital and liquidity planning
  • Risk identification and mitigation

Nice-to-have

  • Experience with PowerBI and Tableau
  • Prior Recovery and Resolution planning experience
  • Excellent communication and interpersonal skills
  • Ability to work in fast-paced environment
  • Proactive and detail-oriented
  • Collaborative across multiple teams

Key Requirements

  • 4-7 years relevant experience
  • Bachelor's degree in Finance or related field beneficial
  • Experience with complex financial products
  • Prior experience in Recovery and Resolution planning preferred
  • Ability to operate independently
  • Experience in strategic IT environment for financial models

Work Rights

Not specified

Tailored Resume

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