-Analyze and interpret financial statements (balance sheets, income statements, cash flows) of private and public companies.
-Perform “financial spreading” — input and adjust financial data to reflect true financial health for credit assessment. • Prepare projected financial statements when required by relationship managers.
-Work closely with tea-----------mbers and supervisors to escalate non-compliance or risk issues.
-Maintain high accuracy and attention to detail in all analyses and documentation.
-Adapt to changing priorities and communicate findings clearly within a team environment.
Familiarity with US GAAP and US financial reporting (e.g., 10-K, 10-Q) is sometimes preferred.
-Strong analytical skills, attention to detail, and ability to manage stakeholder/client interactions.
-Excel proficiency and ability to work with financial tools.