#12327 Market Risk Management Officer (Hybrid)- NYC ,New York

Actus USA
  • New York
    30+ days ago

    Job Description

    Japanese major bank seeks a Market Risk Management Officer.
    *This role is for Vice President level candidates.

    Location: NYC Manhattan
    Salary: $140K-$180K DOE
    The salary will be determined based on your experience after the interview process.
    Benefits: Health, Dental, PTO,401K, Holiday pay and others
    Employment Type: Full-Time
    Industry: Financial Services
    This role is located in New York City and will require a hybrid work schedule of at least 2 days in office per week.


    Your Role Overview:
    Directs staff, develops strategy and controls execution of the Treasury Administrations function. Recommends objectives, policies, and plans for the market and liquidity risk management. Develops ways to improve efficiency, effectiveness, and productivity.

    Your Duties and Responsibilities:
    Supervises the Treasury Administration members.
    Design/maintain the data repository and design/maintain standardized reports.
    Supervises the tasks that are assigned to the Treasury Administration section of the Department. Provides feedback to the Head of the Department on the quality and accuracy of the work performed. Provide support for obtaining and analyzing data related to the credit portfolio and credit risk monitoring process.
    Develop and calibrate assumptions and methodology for the liquidity stress test and contingency funding plan test.
    Design risk management framework
    Develop risk management policies and procedures
    Prepare and present monthly status of Branch risk and performance to management and Head Office.
    Team with Business Continuity Management (BCM) to implement and maintain the BCM Program by ensuring the completion of business continuity deliverables for their department such as the regular review of the department Business Impact Analysis (BIA) and BCP, testing of BC Strategies, mitigation of identified resiliency risks, and promotion of Business Continuity awareness.
    Performs other duties and responsibilities as assigned by management.

    Your Qualifications:
    Masters degree or its equivalent in statistics or economics or in quantitative discipline.
    CFA/FRM candidate or charter holder desired.
    Proficient in Excel, Word, PowerPoint, Access.
    Modeling understanding and capabilities.
    Strong oral and written communication skills.
    Strong quantitative and computer skills.

    Numbers & Facts

    LocationNew York

    Skills

    • Business Continuity Planning (BCP)unmatched
    • Business impact analysis (BIA)unmatched
    • Chartered Financial Analyst (CFA)unmatched
    • Communication Skillsunmatched
    • Computer Skillsunmatched
    • Credit Processingunmatched
    • Credit Riskunmatched
    • Data Analysisunmatched
    • Economicsunmatched
    • Financeunmatched
    • Financial Servicesunmatched
    • Liquidityunmatched
    • Microsoft Access Databaseunmatched
    • Microsoft Excelunmatched
    • Microsoft PowerPointunmatched
    • Microsoft Wordunmatched
    • Performance Managementunmatched
    • Policy Developmentunmatched
    • Presentation/Verbal Skillsunmatched
    • Procedure Developmentunmatched
    • Quantitative Analysisunmatched
    • Riskunmatched
    • Risk Analysisunmatched
    • Risk Managementunmatched
    • Risk Management Framework (RMF)unmatched
    • Statisticsunmatched
    • Strategic Planningunmatched
    • Test Strategyunmatched
    • Treasuryunmatched
    • Treasury Managementunmatched
    • Writing Skillsunmatched

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