Position Competencies
Successful candidates will have the ability to communicate effectively with all levels of the organization including executive management, manage several projects simultaneously, have the ability to work independently and to be creative in their approach to solving issues, have strong technical and analytical skills, and are detail-oriented, intellectually curious, action-oriented, customer focused, quick learners, have good organizational skills, strong written and verbal communication skills, and strive for self-development.
Position Responsibilities
Coordinate compilation of the Capital sections of Comerica’s annual Capital Plan and Stress Test.
Maintain Comerica’s Capital Management Policy.
Review results from the capital forecasting model, with ability to run this model when required.
Produce materials for executive management and committees, including materials for Comerica’s Board of Directors.
Responsible for audit and controls for the Capital Management team.
Ad hoc analysis and other duties as required.
Position Qualifications
Bachelor’s Degree in Finance discipline or similar from an accredited university, Master’s degree preferable
5 years of relevant experience with capital forecasting, regulatory reporting, Bank financial analysis or Bank FP&A, including experience with stress testing (e.g., CCAR/DFAST) along with a solid knowledge of bank capital regulations and capital concepts
7 years’ experience in banking or financial services with a sound knowledge of a bank’s balance sheet
5 years of working with all levels of management and staff
Meaningful experience utilizing Microsoft Office products, including Outlook, Word, and PowerPoint; Expert level with Excel
Experience with or ability to quickly learn other software packages such as Workiva and S&P Global Markets Intelligence
Comerica Bank Tower
8:00am – 5:00pm Monday – Friday. This position offers a hybrid work model that includes onsite and remote days as determined by the manager.
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