Manager - Capital Forecasting, Balance Sheet Forecasting & Analytics
Charles Schwab
Your Opportunity At Schwab, you’re empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us “challenge the status quo” and transform the finance industry together. The Balance Sheet Forecasting & Analytics team sits within our first line of defense Corporate Treasury department. Balance Sheet Forecasting & Analytics is responsible for forecasting the balance sheets, Net Interest Income (NII) and capital actions in our business-as-usual FP&A and CCAR exercises. The team forecasts balance sheets with approximately $490 billion in consolidated assets, comprised of fixed‑income investment portfolios totaling over $225 billion, consumer loan portfolios with approximately $165 billion in balance, an additional $70 billion in off-balance-sheet brokered deposit agreement notional investments, and $50 billion in derivative positions. The Balance Sheet Forecasting and Analytics responsibilities roll up to our Treasury Capital Markets (TCM) organization, which includes: ALM, fixed income investing and other balance sheet modeling activities. Reporting to the Director, Balance Sheet Forecasting and Analytics, this role serves as a hands‑on individual contributor responsible for executing and enhancing key components of Capital Stress Testing (CST) forecasting framework and supporting the evolution of analytical and reporting capabilities. You will contribute directly to the firm’s capital forecasting processes supporting the Comprehensive Capital Analysis and Review (CCAR) and internal stress testing. This includes developing, refining, and executing forecast methodologies for capital, balance sheet, and income statement drivers under baseline and regulatory stress scenarios. The role requires strong analytical rigor, attention to detail, and persistence to navigate complex data, dependencies, and tight timelines. You will partner closely with Treasury, Finance, Risk, and Model Risk teams to ensure forecasts are well‑controlled, transparent, and audit‑ready; while producing clear and actionable analytics for management and regulatory audiences. Success in this role requires flexibility, intellectual curiosity, and grit – operating effectively in ambiguity while driving high‑quality outcomes in a dynamic and evolving environment. What you have 5+ years relevant experience with an emphasis on a mix of the following: ALM, fixed income analytics, capital markets, CCAR/stress testing, market risk, or relevant Treasury‑related functions, analytics, reporting Bachelor’s degree required. Master’s degree or CFA preferred Experience with CCAR process, including forecasting, reporting, governance, and regulatory/audit support Strong understanding of bank balance sheet forecasting, regulatory capital framework concepts (e.g., CET1, RWA, leverage ratio) Expertise with Polypaths ALM, QRM, or other NIR forecasting platforms required Strong analytical and problem‑solving skills with demonstrated attention to detail and data accuracy Ability to manage multiple priorities and deliver high‑quality outputs under time constraints with persistence and accountability Effective communication skills, with the ability to translate complex analyses into clear, concise insights What you’ll do: Own delivery of capital forecast deliverables for CCAR (e.g., CET1, RWA, leverage exposure, capital actions) across baseline and supervisory severely adverse scenarios, ensuring accuracy, completeness, and alignment with upstream inputs Develop and maintain capital forecasting methodologies, assumptions, and overlays; document rationale, limitations, sensitivities, and change history Partner across CCAR workstreams (PPNR, balance sheet, credit, market risk, operational risk, Treasury) to understand dependencies and ensure consistency of assumptions and downstream impacts Produce detailed attribution analysis explaining capital ratio movements, supported by data‑driven insights and clear narrative for management and regulatory review Execute governance and control activities, including reconciliations and reasonableness checks, issue tracking, and audit‑ready documentation with strong attention to detail Partner with Model Risk Management on model inventory, validation support, performance monitoring, and remediation plans for forecast and capital‑related models. Support CCAR submission and review materials, including capital exhibits and worksheets and regulatory reporting; respond to ad hoc information requests with accurate, well‑supported, and timely analysis Identify and drive process improvements, automation opportunities, and enhancements to analytical frameworks Demonstrate flexibility by adapting to shifting timelines, regulatory expectations, and business needs Perform other duties as assigned, with the expectation that responsibilities may evolve over time Ways of Working High attention to detail and commitment to data quality and control integrity Analytical mindset with the ability to break down complex problems into structured solutions Grit and perseverance to work through ambiguity and deliver results under pressure Strong collaboration and influence skills in a cross‑functional environment Flexibility and adaptability as priorities and responsibilities evolve In addition to the salary range, this role is also eligible for bonus or incentive opportunities. #J-18808-Ljbffr Charles Schwab Corporation
$63k - $96k
...Within the Asset and Liability Management Group in the Corporate... ...interest rate risk, producing balance sheet forecasts, performing analysis to... ...supporting ad hoc analysis and capital stress testing. The analyst... ...conforming to controls. Analytics include measurement and review...SuggestedWork at officeFlexible hours$65k - $85k
Advanced Energy in Denver, Colorado is seeking a Treasury Analyst I. In this role, you will manage cash forecasting processes and oversee US and international cash management. You will work closely with the treasury team to support banking strategies and ensure compliance...Suggested$105k - $120k
...Maximus is seeking a Finance Manager in Denver, Colorado. The ideal candidate will manage budgets, work closely with stakeholders, and oversee the financial health of the company. You will play a key role in guiding financial decisions and developing financial reports....SuggestedRemote work$97.75k - $132.25k
.... This position plays a key role in developing the company’s forecasting process and partnering with finance and operations to improve... ...thorough understanding of financial accounting concepts and strong analytical skills are essential. Attractive benefits and a salary range...Suggested$200.7k - $229.1k
...Overview Senior Business Analysis Manager, Capital One Shopping (Remote-Eligible) Summary... ..., you will apply your strategic and analytical skills to major company challenges. You... ...~2+ years of experience in economic forecasting ~2+ years of experience in project management...SuggestedFull timeTemporary workPart timeLocal areaRemote workShift work- ...site in the specified location(s). The Balance Sheet Strategy team within Corporate Treasury leads firm-wide balance sheet management strategy, investment allocation and portfolio... ...paper, reverse repo, and working capital redemptions/purchases (money markets). The...Temporary workWork at office
$82k - $98k
...operators of multifamily housing, managing high-quality properties in... ..., supporting cash flow forecasting, and assisting with banking... ..., including monitoring cash balances, fund movements, wires, ACH... ...Strong attention to detail and analytical skills. Proficiency with Microsoft...Temporary workWork at officeLocal area$80k - $85k
Gensler is looking for a full-time Treasury Analyst in Denver to manage in-person work arrangements in the corporate finance team. The role involves overseeing daily treasury operations, cash management, and financial analysis, requiring strong collaborative skills and...Full time$120k - $185k
...the local leadership management team, the Area Director... ...the financial forecast, ensuring the team is... ...outcomes. Demonstrate analytical foresight to help make... ...financial advisor. Review balance sheet health quarterly with... ...and managing working capital. Influence others:...Minimum wageFull timeTemporary workWork at officeLocal areaImmediate start$136k - $180k
...environment where employees enjoy a balance between their careers,... ...analysis and insight into capital generation results and leading... ...within FP&A responsible for management reporting with additional... ...key role in budget creation, forecasting, and continuous evaluation of...Full timeContract workRemote workWorldwide$300k - $375k
..., treasury, tax, and risk management, while driving strategic initiatives such as capital allocation, M&A, and long‑... ...KPI development, and active balance sheet management, including... ..., and advance systems and analytics that enhance forecasting accuracy, operational visibility...Flexible hours$110k - $130k
...take on the role of client manager, overseeing all aspects of client... ...guidance, budgeting, forecasting, and cash flow modeling). Delegation... ...journal entries accurately Balance sheet account reconciliation (or... ...monthly close time. Strong analytical, problem-solving, and...Full timeCasual workWork at officeFlexible hours$100.1k - $132.87k
Job Overview Manager, Network Reporting & Analytics will oversee the development of Frontier Airlines’ network planning reporting suite, metrics, and... .... Strong analytical skills with proficiency in forecasting, modeling, and scenario techniques. Knowledge of aircraft...Temporary workCasual workWork at officeLocal areaFlexible hours$100.1k - $132.87k
What Will You Be Doing? The Manager of Financial Planning and Analysis... ...Manager will bring advanced analytical and quantitative disciplines... ...for disciplined budget and forecast, long range planning,... ...implications across the P&L, balance sheet, and cash flow. Evaluate the...Temporary workWork experience placementCasual workWork at officeLocal areaFlexible hoursNight shift- Sr. Manager, Financial Planning & Analysis (Future... ...planning, forecasting, cost assurance, internal... .... The Manager balances between finance and... ...expenses, gross margin, capital spending and balance sheet.* Drive analysis of... ...organization.* **Analytical Skill -** Ability to...Work at officeImmediate startRemote workVisa sponsorshipWork visa
- ...Analyzes information, forecasts sales against... ...property. • Provides analytical support during budget... ...opportunities for property managers. • Implements a... ...Manages property working capital and cash flow in... ...etc. • Reconciles balance sheet to ensure account balances...Full timeContract workWork experience placementLocal area
- Lumen is seeking a Finance Manager to provide strategic business partnering and financial analysis for various products. The role involves... ...candidate will have at least 3 years of experience, strong analytical skills, and proficiency in tools like Excel and Power BI. This...Remote job
- SambaSafety is seeking a Financial Planning & Analysis Manager in Denver, CO. This role involves delivering analytics, managing financial data, and communicating findings to leadership. The ideal candidate will have over 5 years of experience in FP&A or Finance, exceptional...Flexible hours
$150k - $225k
...standards and effective management of the financial reporting... ...Liquidity & Working Capital Optimization Strategic Analytics & Planning Performance... ...(e.g., opening/closing balance sheets) to meet contractual/regulatory... ...challenges, accurately forecast liquidity needs,...Part timeWork experience placementInterim roleFlexible hours$136.82k - $174.74k
...Financial Manager - Operational Finance (Profit Centers) Position... ...of annual profit plan and forecasting reports. Develop, analyze, and... ...various contract terms Keen analytical ability required to review,... ...True collaborator, maintain balanced view of business and effectively...Contract workTemporary workWork at officeLocal areaLong distanceFlexible hours$154k - $211k
...enterprise‑wide planning, budgeting, forecasting, and capital allocation. We are strategic business... ...looking for a high‑performing Finance Manager to join our Corporate Finance team.... ...comprehensive financial models across the P&L, Balance Sheet, and Cash Flow. Deliver clear,...Temporary workFlexible hours$120k - $140k
...technical support to the property management and building engineers... ...drive improvements and identify capital needs Provide project... ...claims process Budget and Forecasting Participate in preparation... ...PowerPoint, and Outlook Strong analytical and problem-solving skills with...For contractorsWork experience placementWork at officeRemote work$80k - $85k
...time Treasury Analyst, willing to manage an in-person work arrangement,... ...analysis, foreign exchange, cash flow forecasting, hedging, intercompany transactions, capital markets, credit, and working... ...on your analysis of global cash balances and entity cash requirements...Full timeContract workWork at officeLocal area$69.6k - $76.56k
...The Treasury Analyst performs daily cash management and banking operations functions. This... ...and Liquidity Management Support Cash Forecasting process Prepare daily consolidated... ...communication skills across geographies Strong analytical abilities Detail-oriented and able to...Hourly payFull timeTemporary workWork experience placementWork at officeWork from homeMonday to Friday$69.9k - $95k
...analysis, and general corporate treasury management activities with a strong emphasis on... ...related projects. The ideal candidate is analytical, detail-oriented, collaborative, and... ...Compiles short-term and long-term cash forecasts and coordinates movement of excess cash...Temporary workWork at officeFlexible hours$57.78k - $85k
...America Treasury Analyst: Global Cash Management & Banking Relationships Join DaVita’s Global... ...cash positioning and short-term cash forecasting; analyze variances and drivers Execute... ...while maintaining attention to detail Analytical Thinking: Uses data to identify issues,...Temporary workRemote work$73k - $81k
...Treasury Analyst to help strengthen how we manage cash, investments, and financial risk... ...accurate records of cash and investment balances to support strong financial visibility... ...banking research Participate in budgeting, forecasting, and ad hoc financial analysis that...Local area$130k - $180k
...EBITDA improvements and managing overall cost of Finance. Balance Sheet and Cash Flow Optimization: Drive working capital improvements, cash generating... ...cash flow reporting and forecasting. Financial Reporting:... ..., FP&A / Modeling & Analytics - Office of the CFO locations...Full timeInterim roleWork at office- ...candidate brings both analytical rigor and... ...how strong financial management and thoughtful use of... ...budgeting, financial forecasting, and cash flow management... ...organizational growth while balancing practical execution and... ...planning, cash flow, capital management, and...Full timeContract workTemporary workSummer workWork at officeLocal area
- ...Responsibilities Effectively manage and communicate cash... ..., payables, cash balances, control mechanisms and... ...cash flow and operating forecast. Creates annual budgets... ...approval of all balance sheet accounts, including... ..., 5-Year Plans, 5-Year Capital Plans. Timely interacts...Full timePart time
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Manager - Capital Forecasting, Balance Sheet Forecasting & Analytics. Be the first to apply!

