Capital Management (CM) oversees the end-to-end risk weighted assets (RWA) and capital measurement process across the Firm, and to help ensure efficient and appropriate management of capital. CM is part of Treasury and the Chief Investment Office and partners with functional groups across the Firm inclusive of market risk, model developers, corporate financial reporting and line-of-business product controllers to establish control and governance best practices and accountability for the Regulatory Capital process to generate the Firm’s risk-weighted assets.
The Basel Measurement & Analytics (BM&A) group within CM is responsible for calculating, analyzing and reporting Firm wide RWA for market risk, wholesale credit risk and retail risk stripes. The RWA measures feed into corporate functions to quantify and determine regulatory capital requirements and support external regulatory filings and disclosures. CM BM&A is responsible for the business requirements to develop and manage the Basel infrastructure and ensure calculations are in compliance with internal capital policy and guidance. In addition, CM BM&A supports ancillary activities to perform impact analysis on methodology changes driving new rule proposals; support RWA component of CCAR, resolution & recovery, Pillar 2 ICAAP and Pillar 3 Disclosure; and quantitative impact studies (QIS) for regulatory agencies.
Specific responsibilities include:
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