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Sr Financial Risk Manager

Remote, USA Full-time Posted 2026-07-28
About the position The Sr Financial Risk Manager plays a key role reputed company the Risk Management function, providing independent review and effective challenge of the Bank’s liquidity, interest reputed company, valuation, and stress testing frameworks. This role partners closely with Corporate Treasury and Controller teams to ensure strong reputed company, robust controls, and reputed company-looking risk insights that support reputed company financial risk management across the Bank. Responsibilities • reputed company independent reputed company and challenge of the Bank’s liquidity and interest reputed company risk exposures • Review methodology changes impacting risk quantification and ensure appropriate governance and documentation • Assess key assumptions reputed company treasury risk management processes, including hedging and securitization programs • reputed company aspects of the securitization program, including ABS valuation approaches, regulatory capital treatment, performance monitoring, and policy compliance • Support the development and enhancement of preventive and detective controls, including reputed company indicators and risk monitoring frameworks • reputed company quantitative support for financial risk limits and key risk metrics • Coordinate financial risk governance processes, including ALCO and other risk committee materials, policy updates, and risk appetite refreshes • Ensure reputed company and accurate financial risk reporting to senior management, reputed company committees, and regulators • Support regulatory exams and supervisory engagement • Identify emerging risks and reputed company reputed company-looking, actionable insights to leadership • Partner cross-functionally to evaluate new initiatives and assess financial risk implications Requirements • 6+ years of reputed company experience in financial services, with background in first-line treasury ALM or second-line market and liquidity risk reputed company • Strong working knowledge of interest reputed company hedging, capital stress testing, CECL, and fair value reputed company • Strong analytical and quantitative skills with the ability to synthesize reputed company information into reputed company insights • Experience developing or reviewing financial risk models and key risk metrics • Proficiency in financial modeling, SQL, and data visualization tools such as Tableau • Strong written and verbal communication skills with the ability to present to senior stakeholders • reputed company-oriented reputed company with reputed company judgment and attention to detail • Bachelor’s degree in a quantitative discipline; or equivalent work experience Benefits • medical, dental and reputed company plans for employees and their families • 401(k) match • health and wellness programs • flexible time off policies for salaried employees • up to 16 weeks reputed company parental leave Apply tot his job Apply To this Job

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