AVP-Finance - Capital Markets Job Description Template
As the AVP-Finance - Capital Markets, you will be responsible for managing financial strategies, ensuring regulatory compliance, and optimizing financial performance within the Capital Markets division. You will work closely with senior leadership to provide financial insights and support strategic decision-making.
Responsibilities
- Oversee financial operations and reporting within the Capital Markets division
- Drive financial strategy and planning to optimize performance
- Ensure compliance with regulatory requirements and internal policies
- Collaborate with senior leadership to support strategic initiatives
- Analyze financial data to provide actionable insights
- Manage budgeting, forecasting, and variance analysis
- Lead financial risk management activities
- Develop and implement financial models and tools to support decision-making
- Coordinate with external auditors and regulatory bodies as needed
Qualifications
- Bachelor’s degree in Finance, Accounting, or a related field
- Advanced degree (MBA, CFA) or professional certification (CPA) preferred
- Minimum of 7 years of experience in finance, with a focus on capital markets
- Proven experience in financial strategy, analysis, and reporting
- Strong understanding of regulatory requirements in the financial sector
- Excellent leadership and communication skills
- Ability to work in a fast-paced, dynamic environment
- High level of proficiency in financial software and tools
Skills
- Financial analysis
- Regulatory compliance
- Risk management
- Budgeting and forecasting
- Financial modeling
- Advanced Excel
- Communication
- Leadership
- SAP
- Oracle Financials
Frequently Asked Questions
An AVP-Finance in Capital Markets is tasked with overseeing financial operations, ensuring compliance with regulations, and managing financial risks within capital markets. They develop and implement financial strategies, contribute to budgeting processes, and analyze financial data to support decision-making. They also collaborate with various departments to enhance financial performance by advising on potential investments and market trends.
To become an AVP-Finance in Capital Markets, candidates should hold a finance-related degree, such as finance, accounting, or economics, often accompanied by a Master’s or MBA. Extensive experience in finance or banking, particularly within capital markets, is crucial. Professional certifications like CFA or CPA may enhance prospects. Building expertise in financial analysis, risk management, and regulatory compliance is essential for advancing to this executive role.
The average salary for an AVP-Finance in Capital Markets varies by region, industry, and company size. Typically, it aligns with the compensation associated with senior financial roles in the banking and finance sector. Salaries often reflect the individual's experience, educational background, and level of expertise in capital markets operations, with additional performance bonuses linked to market conditions and financial outcomes.
Qualifications for an AVP-Finance in Capital Markets typically include a Bachelor’s degree in finance, accounting, or a related field, with many employers preferring candidates with an MBA or Master's degree. Relevant certifications such as CPA or CFA bolster an applicant's profile. Critical qualifications also encompass extensive experience in financial analysis, capital market operations, and a deep understanding of financial regulations and risk management.
Key skills required for an AVP-Finance in Capital Markets include strong analytical abilities, proficiency in financial modeling and strategic planning, and in-depth knowledge of capital markets. Responsibilities involve managing financial forecasting, ensuring compliance with financial regulations, and identifying opportunities for market growth. Effective leadership and communication skills are crucial in coordinating with cross-functional teams to optimize financial performance and strategic initiatives.
