Liquidity Risk - Manager
Selby Jennings - new york city, NY
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Liquidity Risk Manager - Boutique Consulting Firm Responsibilities: Project Management & Treasury Expertise: Demonstrates extensive abilities in project management and client consultation, solving complex problems for financial institutions, and understanding Financial Services products (e.g., Retail Banking, Commercial Banking, Capital Markets, Asset Management, Insurance).Treasury Instruments & Risk Management: Proficient in a broad range of treasury instruments and financial products, with a deep understanding of liquidity, balance sheet risk, interest rate risk, capital management, and liquidity risk management.Banking Industry & Regulatory Knowledge: Possesses comprehensive knowledge of macroeconomic trends, the banking industry, and regulatory environments such as Reg YY, OCC bulletins, and Federal Reserve SR letters.Liquidity Risk Management Expertise: Skilled in intraday liquidity management, liquidity stress testing, contingency funding planning, and aligning strategies with regulatory guidelines and industry standards.Process Review & Risk Mitigation: Experienced in reviewing liquidity risk management processes, analyzing metrics like stress tests and cash flow projections, identifying vulnerabilities, and recommending improvements.Qualifications Bachelor's Degree as minimum educational qualification.6+ years' experience working within financial services or relevant field.Developing strategies aimed at optimizing liquidity risk postureConducting extensive project oversight ensuring delivery aligns with client expectationsEngaging directly with stakeholders providing valuable consultationsDesired Skills and ExperienceResponsibilities:* Project Management & Treasury Expertise: Demonstrates extensive abilities in project management and client consultation, solving complex problems for financial institutions, and understanding Financial Services products (e.g., Retail Banking, Commercial Banking, Capital Markets, Asset Management, Insurance).* Treasury Instruments & Risk Management: Proficient in a broad range of treasury instruments and financial products, with a deep understanding of liquidity, balance sheet risk, interest rate risk, capital management, and liquidity risk management.* Banking Industry & Regulatory Knowledge: Possesses comprehensive knowledge of macroeconomic trends, the banking industry, and regulatory environments such as Reg YY, OCC bulletins, and Federal Reserve SR letters.* Liquidity Risk Management Expertise: Skilled in intraday liquidity management, liquidity stress testing, contingency funding planning, and aligning strategies with regulatory guidelines and industry standards.* Process Review & Risk Mitigation: Experienced in reviewing liquidity risk management processes, analyzing metrics like stress tests and cash flow projections, identifying vulnerabilities, and recommending improvements.Qualifications* Bachelor's Degree as minimum educational qualification.* 6+ years' experience working within financial services or relevant field.* Developing strategies aimed at optimizing liquidity risk posture* Conducting extensive project oversight ensuring delivery aligns with client expectations* Engaging directly with stakeholders providing valuable consultations
Created: 2025-02-14