Job Description
Job Description
Stress Testing Manager
About the Job :
We are seeking an experienced Stress Testing Manager with expertise in liquidity risk, regulatory compliance, and financial markets.
This role is integral to maintaining and enhancing market, liquidity, and credit risk management, particularly within clearing, settlement, and financial market operations.
You'll work within a dynamic team to ensure that risk management strategies meet rigorous organizational and regulatory standards.
The position is available in Dallas, Tampa, Jersey City, or McLean, and offers a hybrid working environment.
Whats in it for you?
- Competitive pay rate of $95 per hour.
- Opportunity to work with cutting-edge financial risk management processes.
- Lead global teams and impact financial market operations.
- Develop and implement advanced stress testing methodologies.
- Short-term contract with potential for extension (2 months).
What youll be doing :
- Proactively identify and evaluate changes in members liquidity risk exposures, needs, and obligations.
- Monitor market conditions to anticipate risks and impact on stress scenario inventory.
- Provide risk committees with insights on liquidity risk dynamics and vulnerabilities.
- Lead and oversee global market risk teams, ensuring adherence to policies and procedures.
- Develop and improve risk management policies, ensuring compliance with regulatory requirements.
- Manage issues from internal audits, regulatory exams, and risk assessments, collaborating on remediation plans.
- Present key risk metrics to senior management and regulatory bodies.
- Oversee projects and enhancements to mitigate emerging risks for new and existing products.
Requirements :
- 10+ years of experience in liquidity risk management and stress testing.
- Expertise in developing and applying stress testing models under extreme but plausible scenarios.
- Strong understanding of financial market operations and regulatory frameworks.
- Advanced quantitative risk analysis skills, including working with models and risk metrics.
- Proven experience in developing risk mitigation strategies and leading risk management teams.
- Excellent communication skills for presenting complex risk insights to senior stakeholders.
Does this sound like something you want to be part of?
Come join our team and help shape the future of financial risk management!