Senior Manager- Capital Markets and Analytics; Hybrid
Listed on 2026-02-21
-
Finance & Banking
Financial Manager, Corporate Finance, Financial Analyst, Financial Consultant
Senior Manager – Capital Markets and Analytics (Hybrid)
The Senior Manager – Capital Markets and Analytics is responsible for applying strong decision‑making, analytical, and leadership skills in a dynamic, collaborative environment. The role leads multiple projects, drives process innovation, and introduces new technologies to enhance current workflows.
Responsibilities- Develop Credit Card portfolio forecasts for regulatory stress testing and internal scenario analyses.
- Develop and own revenue and expense forecast models and analyses to support stress testing needs, business growth, and strategic initiatives.
- Analyze current and past trends in key performance indicators, including revenue, expenses, and capital.
- Monitor performance indicators, highlight trends, and analyze causes of unexpected variance.
- Analyze complex financial information and reports to support accurate and timely financial recommendations for management decision making.
- Perform ad‑hoc analysis using data and model retrievals from internal financial systems and external market databases; package insights into clear and concise presentations.
- Collaborate with business leads to identify areas and processes for driving efficiencies.
- Implement and utilize Business Intelligence Tools and dashboard reports.
- Bachelor’s Degree in a quantitative major (Finance, Accounting, Economics, Mathematics, or Engineering) or equivalent military experience.
- At least 7 years of experience in financial analysis and financial modeling.
- At least 5 years of experience in Advanced Microsoft Excel/Google Sheets and Google Slides.
- Master’s Degree in Business Administration (MBA), Accounting, Finance, Economics or other quantitative majors.
- Strong verbal and written communication skills.
- 5+ years of experience with SQL and Python.
- 5+ years of experience managing junior analysts or leading cross‑functional engagements.
This hybrid role requires associates to spend 3 days per week in‑person at one of the offices listed on the posting.
Salary & IncentivesMcLean, VA: $200,700 – $229,100 for Sr. Manager, Capital Markets & Risk;
Richmond, VA: $182,500 – $208,300 for Sr. Manager, Capital Markets & Risk. Candidates hired in other locations will receive the pay range associated with that location.
This role is eligible for performance‑based incentive compensation, which may include cash bonuses and/or long‑term incentives.
BenefitsCapital One offers a comprehensive, competitive, and inclusive set of health, financial, and other benefits that support your total well‑being. Learn more at Capital One Careers website. Eligibility varies based on full or part‑time status, exempt or non‑exempt status, and management level.
Employment EquityCapital One is an equal‑opportunity employer (EOE, including disability and veteran), committed to non‑discrimination in compliance with applicable federal, state, and local laws. Capital One promotes a drug‑free workplace and will consider qualified applicants with a criminal history in accordance with relevant laws.
#J-18808-Ljbffr(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).