The Corporate Treasury Quality Assurance and Business Controls team is part of the Corporate Treasury. The primary focus of the team is validate effectiveness of processes/controls supporting Corporate Treasury functions, including Enterprise Capital Management, Global Liquidity Management, Corporate Investments, Global Funding, Treasury Finance, Balance Sheet Management, and Enterprise Insurance Management. Coverage also includes regulatory compliance (e.g., Basel - Capital and Liquidity) and related enterprise standards and policies (e.g.. Enterprise Data Management).
This team's business partners include various groups through CFO organization, GT&O, Risk and Compliance teams. Key priorities for the team are provide affirmative evidence supporting ongoing compliance with enterprise policies and standards, including applicable regulatory and reporting requirements, as well as Treasury Control Framework.
Additional, this team supports execution of Treasury Control Framework, including process and control design assessment, compliance with enterprise control frameworks and programs, various control strategic projects and assist in execution of Treasury QABC group's administrative tasks and routines.
The teammate in this role is responsible for:
Assist in designing and conducting design and operating effectiveness testing to ensure ongoing compliance with Basel rules (Liquidity and Capital)
Participating in discussions with process and control owners to develop approaches to resolve gaps, and/or address weaknesses or deficiencies when necessary
Identifying documents, and maintain evidence supporting process and controls objectives
Participating in teams conducting the validation work streams
Engaging key business partners to facilitate completion of assigned deliverables and explain results
Throughout the tenure of the role, the teammate should gain exposure and acumen in Basel regulations and business processes/controls relied upon for compliance with these regulations across the Corporation.
Ability to work in large team and work on long term projects while maintaining flexibility on deliverables
Required Skills and Experience:
Bachelor’s Degree or equivalent experience
3-5 years of large complex banking treasury experience
3-5 years of direct Treasury Business Controls experience
Operational risk, compliance risk or audit within treasury experience also beneficial
Big 4 experience auditing large complex bank
Understanding of complex financial instruments
Experience working with complex data set
Excellent communication and presentation skills
Experience in a centralized cross-functional role, coordinating across many groups and presenting relevant information / results
Desired Skills and Experience:
MBA, CPA, CFA or equivalent
Big 4 assurance experience
Governance and oversight experience
Comfort with complex financial products
Advanced data manipulation/Excel/Modeling
Internal Number: 19027944
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