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Senior Manager for Investment Portfolio Management

https://www.wellsfargo.com/ Logo

Wells Fargo

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Location:
India, Bengaluru

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Category:
Finance

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Contract Type:
Not provided

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Salary:

Not provided

Job Description:

Wells Fargo is seeking a Treasury Senior Manager for Investment Portfolio Management to lead teams responsible for complex analytics on companywide key treasury finance metrics, oversee global market conditions evaluation, and ensure compliance with treasury risk management regulatory requirements.

Job Responsibility:

  • Manage and develop teams responsible for complex analytics on components of companywide key treasury finance metrics
  • Oversee the monitoring and evaluation of global market conditions, funding, asset and liability management, liquidity risk management, capital management, financial performance management
  • Lead all aspects of a critical treasury finance function
  • Ensure deliverables are completed and compliant with various treasury risk management regulatory requirements
  • Lead implementation of complex projects and initiatives
  • Oversee financial research, analysis, and structuring of investment portfolios
  • Drive model lifecycle management – validation, implementation, performance monitoring, and remediation
  • Lead scenario analysis, stress testing, and ensure all portfolios are aligned with risk appetite frameworks
  • Lead robust model governance
  • Drive independent model validation
  • Enhance and automate model validation processes
  • Ensure effective risk oversight, documentation, risk reporting
  • Facilitate regular data quality management and reporting
  • Support implementation of streamlined business processes and end-user products
  • Mentor and lead quantitative analysts
  • Act as point of contact for internal and external stakeholders
  • Drive process improvement and operational efficiency

Requirements:

  • 6+ years of Treasury experience or equivalent
  • 3+ years of management or leadership experience
  • Advanced degree in Finance, Economics, Statistics, Mathematics, Engineering, or related field
  • Strong experience (6+ years) in investment portfolio management, banking, or asset management
  • Deep expertise in model development, validation, quantitative analytics, and risk management for large portfolios
  • Strategic AI Awareness
  • Hands-on experience with scenario analysis, risk modeling, credit analysis, and regulatory compliance
  • Advanced statistical, financial modeling, and data analytics skills
  • Proficient with relevant software (Python, R, Bloomberg, Factset, SQL, etc)
  • Strong communication skills
  • Experience working at/with global banks, especially in offshore centers for US/UK institutions
  • Knowledge of international accounting standards and regulatory regimes (Basel III/IV, CCAR, FRTB, etc)

Nice to have:

  • MBA, CFA, FRM, or equivalent certification preferred
  • Encourages experimentation with AI tools (e.g., generative AI, automation platforms) to foster innovation and continuous improvement
  • Demonstrated success in building stakeholder consensus and driving high-impact portfolio or model validation initiatives at scale

Additional Information:

Job Posted:
September 02, 2025

Expiration:
September 09, 2025

Employment Type:
Fulltime
Work Type:
On-site work
Job Link Share:
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