Capital Financial Analysis – Associate, Treasury Controllers
On-site · Ohio, United States
Job Summary
Lead capital and liquidity reporting for all lines of business on forecast and actual results; manage end-to-end reporting for business planning and stress testing cycles, including Risk Appetite, CCAR, Resolution and Recovery, and annual budget exercises; coordinate with business partners and corporate functions on framework changes, new initiatives, and regulatory requirements; oversee control processes and promote continuous improvement; support the integrity and validity of Treasury financials and controls; communicate monthly and quarterly forecasts, actuals, and annual budget results; drive analytics and project management in a changing regulatory environment; partner with senior leadership to deliver on key initiatives and deliverables; streamline and enhance existing processes for efficiency and effectiveness; foster a collaborative and high-performing team culture; support ad hoc projects and requests as needed
Required Qualifications
- Bachelor’s degree in Finance, Economics, Accounting, or related technical field
- Two years of experience in finance or accounting
- Experience in balance sheet and financial analysis
- Technical skills or willingness to learn Alteryx, Tableau, SQL, or similar tools
- Self-starter with strong work ethic and interpersonal skills
- Ability to thrive in a fast-paced, results-driven environment
- Strong analytical, critical thinking, and problem-solving skills with proven execution
- Sound judgment, professional maturity, and ability to manage multiple priorities
- Excellent communication and partnering skills across all levels
- Control and efficiency mindset with drive for process improvement
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