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Posted: Thursday, May 11, 2017 6:14 AM

At BBVA, weA?re working to make banking better for everyone. ThatA?s where you come in. WeA?re looking for smart, team:oriented people who want to be part of a first:class workforce that gives people the tools they need to meet their financial goals, all while delivering an outstanding client experience. Learn more below.Evaluate and make recommendations regarding internal control processes and related procedures as they relate to effectiveness and compliance with bank policies and regulations. In addition, accounting and financial records will be reviewed and analyzed. Executes the tasks assigned in the work program and cooperates with the team leader in the development of each phase of the field work. Able to identify relevant risks and to report to the team leader. Establishes relationship level with the clients. Contributes with ideas and suggestions to the improvement of the audit methodology. Collaborates in the training and supervision of the auditors, with emphasis in the implementation of the audit methodology. Develop partnerships with clients by understanding their goals and deliverables, key business processes, technologies, risk management practices and areas of potential risk. Additional responsibilities will include supporting other audit teams from time to time. As improvement is demonstrated, this person will be placed in charge of selected audits and special projects as they arise.Education and Training: BachelorA?s degree is required. A major in quantitative fields such as: Mathematics, Statistics, or Finance is strongly preferred. A professional designation is a plus. Skills Required:System knowledge with excellent PC skills including MS Suite (Excel, Access, PowerPoint, Word, Project) as well as familiarity with relational databases and use of related query tools and programming experience (C++, C, VB, R, MATLAB, SAS, SPSS, etc.)Exposure to or hands:on knowledge of market risk modeling (IR, FX), asset:liability management, credit risk modeling, derivatives valuation, and portfolio risk analyticsExperience with statistical model validationFamiliarity with Basel and SR11:7Understanding of consumer risk models, credit business, credit markets, and credit:related modelsManagement, communication and presentation skillsBilingual in English:Spanish (spoken and written) is a plus. Must be willing to travel domestically and internationally, as required.

Source: https://www.tiptopjob.com/jobs/66986094_job.asp?source=backpage


• Location: Birmingham

• Post ID: 19021393 birmingham
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