Blackrock, Inc.
Director, Corporate Finance Strategist for OCIO Platform
Blackrock, Inc., New York, New York, us, 10261
About this roleBlackRock Overview:BlackRock is a global leader in investment management, risk management and advisory services for institutional and retail clients. As of December 31, 2023, BlackRock’s AUM was $10+ trillion. BlackRock helps clients around the world meet their goals and overcome challenges with a range of products that include separate accounts, mutual funds, iShares (exchange-traded funds), and other pooled investment vehicles across public and private markets.OCIO TeamBlackRock’s OCIO platform is a global business for institutional accounts including, but not limited to, Corporates, Healthcare Companies, Endowments & Foundations, Publics, Sovereign Wealth, and selective High Net Worth individuals and Family Offices. The OCIO platform leverages the strengths of BlackRock including investment management services, risk management via Aladdin, and strong governance.Responsibilities:Supervise and lead the creation, implementation, and quantification of enterprise solutions and portfolio investment strategies for corporate and public DB, DC, NDT, OPEB, Endowment, Foundation, Healthcare, and Family Office clients.Review the impacts of tax, accounting, actuarial, regulatory, rating agencies’, and economic considerations related to proposed enterprise solutions and investment strategies.Direct experience in negotiating, documenting, and interacting with clients’ internal and external financial representatives, legal counsel(s), and regulatory bodies.Supervise and lead the creation and maintenance of the inputs and outputs of all asset-liability-modelling analyses and presentation materials.Responsible for training team members in principles of corporate finance, tax, accounting, actuarial science, economics, rating agencies, and regulatory environments.Develop and maintain strong relationships with key stakeholders, including clients, regulatory bodies, and internal teams.Provide strategic advice and insights to senior management on financial matters, including investment strategies, risk management, and regulatory compliance.Stay up to date with industry trends, regulatory changes, and best practices to ensure the organization remains compliant and competitive.Collaborate with other departments, such as marketing, IT, and portfolio managers, to ensure the successful implementation of financial strategies and solutions.Required Education, Training, Licenses:BS or BA degree in Finance, Actuarial Science, and/or Economics.Master’s degree in economics, Accounting, or Finance preferred.Full command of GAAP accounting, ERISA Rules and Regulations, Rating Agency policies and processes, actuarial standards, IRS Tax Code, and industry-specific regulatory requirements.Relevant professional certifications (e.g., CFA, CPA, FRM) are highly desirable.Required Experience & Skills:A minimum of ten years of experience in corporate treasury operations.Seven years of experience in financial modelling.Strong managerial skills, with a hands-on approach.Compliance-oriented with a strong understanding of regulatory requirements.Strong PowerPoint, presentation, and Excel skills.Innovative, reliable, with strong time management skills and a motivated self-starter.Strong verbal and written communication skills.Organized with strong attention to detail.Experience in team formation and handling, with a proven track record of leading high-performing teams.Ability to work under pressure and meet tight deadlines.Strong analytical and problem-solving skills.Ability to think strategically and provide innovative solutions to complex financial challenges.
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