Capital Management Oversight Risk Manager

HW3

New York (NY)

Hybrid

USD 150,000 - 200,000

Full time

10 days ago
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Job summary

HW3 seeks a Vice President to join its Treasury Risk Management function in New York, overseeing capital adequacy and management across Americas entities. The role is hybrid with 2 days on site.

Responsibilities include reviewing capital ratios, CCAR methodologies, and regulatory compliance, while coordinating with treasury, finance, and risk leadership to strengthen capital governance and reporting.

Qualifications

  • 5+ years in capital management, regulatory capital, stress testing, treasury, or risk management.
  • Strong knowledge of U.S. regulatory capital requirements, CCAR, RWA methodologies, and leverage ratios.
  • Understanding of how products affect capital under baseline and stress scenarios.
  • Excellent communication, stakeholder management, and project-planning skills.

Responsibilities

  • Review and challenge capital ratios, RWA, leverage exposure, buffers, limits, and targets.
  • Oversee CCAR and capital stress-testing methodologies and results.
  • Assess compliance with U.S. regulatory capital requirements.
  • Evaluate the capital impact of financial products, business strategies, and capital actions.
  • Present analysis to senior management, boards, and global risk committees.
  • Partner with Treasury, Finance, Risk, and business leadership.
  • Support regulatory engagements and enhance capital risk governance and reporting.

Skills

Capital management
Regulatory capital
Stress testing
Treasury
Risk management
Communication
Project planning

Job description

Vice President – Capital Management Oversight

Location: New York, NY

Work Type: Hybrid, 2 days on site

We are partnered with a global financial institution is seeking a Vice President to join its Treasury Risk Management function, providing independent oversight of capital adequacy and capital management across its Americas entities.

Key Responsibilities:
  • Review and challenge capital ratios, RWA, leverage exposure, buffers, limits, and targets
  • Oversee CCAR and capital stress-testing methodologies and results
  • Assess compliance with U.S. regulatory capital requirements
  • Evaluate the capital impact of financial products, business strategies, and capital actions
  • Present analysis to senior management, boards, and global risk committees
  • Partner with Treasury, Finance, Risk, and business leadership
  • Support regulatory engagements and enhance capital risk governance and reporting
Requirements:
  • 5+ years in capital management, regulatory capital, stress testing, treasury, or risk management within a large bank or FBO
  • Strong knowledge of U.S. regulatory capital requirements, CCAR, RWA methodologies, and leverage ratios
  • Understanding of financial markets and how products affect capital under baseline and stress scenarios
  • Strong communication, stakeholder management, and project-planning skills
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