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Balance Sheet Management Modeling Jobs (On-site work)

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Assistant Finance Manager - Controlling & Reporting
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Turkey , Istanbul, Umraniye
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Unilever
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Commercial Finance Manager
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United Kingdom , Central Belt
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Michael Page
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Financial Controller
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United States , Scottsdale
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Envita Medical Center
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Senior Health & Safety Specialist
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United States , Haworth
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88000.00 - 95000.00 USD / Year
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Veolia
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Senior Asset Manager - Living Fully
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United States , St Augustine
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DLP Capital
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Commercial Real Estate Underwriter
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India , Mumbai
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Citi
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Senior Analyst, Consolidation and Intercompany Operations
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Canada , Mont-Royal
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105000.00 CAD / Year
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Randstad
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Program Manager (CapEx)
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United States , Boston
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130000.00 - 185000.00 USD / Year
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Whoop
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Fp&a Analyst
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United States , Orlando, FL
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ThreatLocker
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Placement Analyst
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Italy , Milan
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Citi
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Senior Accountant
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United States , Santa Ana
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Robert Half
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Senior Financial Analyst
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United States , Des Moines
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Robert Half
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Pursue a pivotal career at the intersection of finance, data, and corporate strategy with Balance Sheet Management Modeling jobs. This highly specialized and sought-after profession is central to the financial health and regulatory compliance of banking and financial institutions. Professionals in this field are the architects of the sophisticated mathematical frameworks used to forecast, analyze, and manage a firm's entire balance sheet and its associated interest rate risk. They translate complex financial data into actionable intelligence, enabling senior management to make informed decisions on capital, liquidity, and strategic planning. Individuals in Balance Sheet Management Modeling roles are primarily responsible for the end-to-end development, governance, and maintenance of statistical and econometric models. A typical day involves designing and implementing forecasting models for key financial metrics such as Net Interest Income (NII), Non-Interest Revenue, and Economic Value Sensitivity. These models predict how a bank's balance sheet and profitability will behave under various economic and interest rate scenarios. Core responsibilities include rigorous data analysis, model validation, back-testing, and the meticulous documentation required to satisfy internal and external regulatory standards (like IRRBB - Interest Rate Risk in the Banking Book). Furthermore, these experts are crucial stakeholders, building key relationships with treasury, finance, and business teams to ensure models are accurately implemented and their implications are clearly understood. To excel in Balance Sheet Management Modeling jobs, a specific and advanced skill set is required. A strong academic foundation is essential, typically a postgraduate degree (Master's or PhD) in a quantitative discipline such as Statistics, Economics, Mathematics, or Finance. Certifications like the CFA or FRM are highly valued. On the technical side, proficiency is mandatory in programming languages like Python (including packages for data analysis and machine learning), with SQL for database management and knowledge of SAS or R being a significant advantage. A deep understanding of statistical techniques is the bedrock of the role, including Time Series Analysis, Linear and Logistic Regression, and increasingly, Machine Learning and AI methodologies. Beyond technical prowess, domain knowledge of financial products, Asset Liability Management (ALM), capital planning, and accounting principles is critical. Success also hinges on soft skills: the ability to manage multiple projects, assume informal leadership, and present highly technical findings in a meaningful way to non-technical audiences. For quantitative professionals seeking a role with direct impact on a financial institution's stability and profitability, Balance Sheet Management Modeling jobs offer a challenging and rewarding career path. It is a profession that demands a unique blend of analytical rigor, financial acumen, and strategic communication, making it a critical and respected function within the modern financial landscape.

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