Our client is seeking a Cash Management & Risk Management Subject Matter Expert to evaluate control processes, assess regulatory compliance, and support governance initiatives across their Cash Management product portfolio, serving as a critical bridge between business stakeholders, first-line defense teams, and risk oversight functions.
Responsibilities & Qualifications
Survey existing and newly established Cash Management processes against risk parameters and U.S. supervisory expectations; identify and remediate control gaps during change events
Evaluate the effectiveness of control processes across the Cash Management product portfolio and support quarterly risk mapping exercises by validating control design and performance
Assess risk exposure and control operating effectiveness; monitor business activities and reporting criteria for nonconformance against established KPIs and KRIs
Implement KPI/KRI frameworks for new products, establish performance thresholds, and support annual key control testing and risk attestation processes
Educate business stakeholders on the Enterprise risk management framework, Federal Reserve supervisory expectations, OCC bulletins, and relevant regulatory requirements
Facilitate cross-functional collaboration between process owners, Subject Matter Experts, and stakeholders to align on control priorities and governance outcomes
Foster strategic relationships with first and second line of defense teams; support U.S. and Enterprise governance programs to ensure alignment and accountability
Translate regulatory guidance (Supervisory Letters, OCC Bulletins) into practical control requirements and design recommendations
Requirements
10–15 years of experience in business risk management, transaction banking, cash management, or related financial services risk disciplines
Advanced proficiency in evaluating and designing control frameworks; demonstrated expertise in control effectiveness assessment and risk-based control validation
Strong knowledge of U.S. supervisory expectations, Federal Reserve Supervisory Letters, and OCC Bulletins; ability to interpret and apply regulatory requirements
Hands-on experience implementing KPI/KRI frameworks and risk governance programs in a financial institution or banking environment
Proven stakeholder management and relationship-building skills with ability to influence across organizational levels and collaborate effectively with business, risk, and compliance teams
Excellent communication and presentation abilities; capability to translate complex regulatory and risk concepts for diverse audiences
Demonstrated adaptability and comfort working in dynamic, matrix environments with competing priorities and evolving regulatory guidance
Numbers & Facts
Location
Jersey City, New Jersey
Skills
Alliance/Partner Managementunmatched
Bank Managementunmatched
Banking Servicesunmatched
Cash Managementunmatched
Communication Skillsunmatched
Cross-Functionalunmatched
Financial Riskunmatched
Financial Servicesunmatched
Financial Transactionsunmatched
Interpret Regulationsunmatched
Performance Metricsunmatched
Presentation/Verbal Skillsunmatched
Product Supportunmatched
Regulationsunmatched
Regulatory Complianceunmatched
Regulatory Requirementsunmatched
Riskunmatched
Risk Analysisunmatched
Risk Managementunmatched
Risk Management Framework (RMF)unmatched
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