Upvote
Downvote
Risk Management - Liquidity Risk Management - Markets / Broker - Dealer Entities - Vice President
Share Job
- Suggest Revision
Full-time
- In this role, you will interact and partner with business units, corporate treasury, and other risk stripes, to obtain, understand, analyze, and draw conclusions with respect to potential liquidity risk implications within the firm’s broker-dealer business.
- You will continuously assess emerging risks to Firm's liquidity by monitoring evolving short-term funding markets and present conclusions to senior management.
- Identify, assess, and monitor liquidity risks related to the firm’s broker-dealer and other trading activities (prime brokerage, secured funding, derivatives)
- Participate in second line review and challenge of requirements such as change management, user testing, data and controls review and other matters that impact liquidity risk for product coverage area
- Minimum 5 plus years of experience in banking industry across treasury, liquidity risk, market risk and/or trading of fixed income products.
Active Job
Updated 29 days agoSimilar Job
Relevance
Active