Looking for premier institute pass outs with 1-3 years of Portfolio (Analytics) experience.
Key tasks / Responsibilities:
- Manage the process around the financial and strategic assessment of the banks business portfolio
- Responsibility for the overall portfolio model, its inputs and ensuring accurate analytical output
- Pro-active review and enhance the portfolio model to ensure that it remains robust and as efficient as possible
- Working in partnership with Group Finance on the financial inputs into the portfolio model
- Maintaining regular updates of the banks revenue pools and market share information at the key business portfolio level
- Working with other stakeholders on non financial inputs (e.g., risk, HR, GRAD)
- Supporting the analytical assessment of the model outcomes, including supporting the preparation of the regular updates to the GEC and other key resource decision making bodies (e.g., GOC, GIC, CAR)
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