Senior FP&A Analyst - Banking Domain - Noida - Up to 17 LPA
Job Description
Key Skills
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JOB TITLE: Senior FP&A Analyst - Banking Domain - Noida - Up to 17 LPA
Job Code: 424502 | Location: Noida | Band: BPO 4-5 | Experience: 5-15 Years | Salary: Up to 17 LPA
Domain: Banking and Finance & Accounting
Education: CA / Masters in Finance, Accounting, Economics
Preferred Certifications: FRM, IFRS 9
Full-time Education: 15 Years Mandatory (10+2+3)
ABOUT THE ROLE:
We are hiring Senior FP&A Analyst for Noida location for a leading Banking client. If you are a CA / Masters in Finance with 5-15 years of experience in Financial Planning & Analysis and have expertise in Financial Modeling, Budgeting, Forecasting and Variance Analysis, this is the right opportunity. Banking background preferred, package up to 17 LPA.
WHY JOIN US:
- Salary up to 17 LPA | Band: BPO 4-5
- Location: Noida
- Banking & Finance domain
- Exposure to ICAAP, ILAAP, BoE Stress Testing Scenarios
- Hands-on with Anaplan, SAP BPC, Hyperion, FCSS, Oracle Fusion, Power BI, Tableau
MUST HAVE SKILLS:
- Financial Modeling, Budgeting & Forecasting, Variance Analysis
- Strong Accounting Knowledge
- Data Analysis & Interpretation
- CA or Masters in Accounting / Finance / Economics
GOOD TO HAVE SKILLS:
- Scenario Planning, What-if Analysis, Long-range Planning, Capital Allocation
- Strong understanding of Balance Sheet & Capital Metrics
- Driver-based & Scenario Modelling
- Knowledge of Stress Testing Frameworks - BoE Scenarios Preferred
- SQL & Data Extraction, Power BI, Tableau, Dashboarding
- Advanced Excel, Anaplan, SAP BPC, Hyperion
TOOLS & SYSTEMS:
- Planning: Anaplan, BPC, Hyperion, FCSS, Oracle Fusion
- Excel: Advanced Modelling
- BI: Power BI, Tableau
KEY RESPONSIBILITIES:
A. Planning & Budgeting:
Manage driver-based budgeting models, consolidate and validate P&L, Balance Sheet and key ratios, support business units in planning submissions and review packs, execute and maintain cost allocation models.
B. Variance Analysis:
Perform Actual vs Budget / Forecast analysis, MoM and YoY movement analysis, cost center-level variance breakdowns, Volume-Rate-Mix analysis.
C. Forecasting:
Prepare monthly rolling forecasts, update outlook based on performance, macro factors and business inputs, maintain driver-based and scenario-integrated forecasting models.
D. Scenario Analysis & Stress Testing:
Perform sensitivity and what-if analysis on NIM, impairments, costs etc., support regulatory exercises like ICAAP, ILAAP and stress scenarios, quantify capital and liquidity impacts, prepare governance and committee packs.
E. Governance & Reporting:
Produce segment and customer profitability reports, draft templated and automated variance commentary, highlight key drivers and anomalies, prepare Board and ExCo packs, identify risks and opportunities in financial plans, validate data integrity and consistency across models.
Risks & Controls: Model inaccuracies to be controlled via validation and reconciliation, Data inconsistency via cross-functional alignment checks, Regulatory non-compliance via ICAAP and ILAAP validation reviews.
Role
Account Manager
Timings
Rotational Shifts (Permanent)
Industry
BPO
Work Mode
Work from office
Process
Voice
Functional Area
ITES / BPO / Customer Service
Note: Myglit doesn't charge any money from candidates. If you have been asked to pay money to get this job then report to us immediately at support@myglit.com.
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