Hybrid Market Liquidity Risk Manager — Strategy & Reporting

Network ESC A Division of Network Temps, Inc.

United States

Hybrid

USD 165,000 - 180,000

Full time

14 days+
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Job summary

A major financial institution is seeking a Market Risk Manager to direct staff and develop strategies for liquidity risk management. The role offers a competitive salary between $165,000 and $180,000 and emphasizes strong quantitative skills, proficiency in Microsoft applications, and a Master’s degree in a relevant field. The position is full-time, hybrid with two days onsite in Midtown Manhattan, and targets candidates in the Tri-State area.

Qualifications

  • Master's degree or equivalent in statistics, economics, or a quantitative discipline.
  • CFA/FRM candidate or charter holder is desired.
  • Proficient in Excel, Word, PowerPoint, Access.

Responsibilities

  • Supervise the Treasury Administration members.
  • Design and maintain standardized reports and data repository.
  • Provide feedback on the quality and accuracy of work in Treasury Administration.
  • Evaluate liquidity stress tests and contingency funding plans.
  • Develop risk management policies and procedures.
  • Prepare and present monthly risk and performance status to management.

Skills

Excel
Word
PowerPoint
Access
Strong oral and written communication skills
Strong quantitative and computer skills

Education

Master's degree in statistics, economics, or quantitative discipline
CFA/FRM candidate or charter holder

Job description

A major financial institution is seeking a Market Risk Manager to direct staff and develop strategies for liquidity risk management. The role offers a competitive salary between $165,000 and $180,000 and emphasizes strong quantitative skills, proficiency in Microsoft applications, and a Master’s degree in a relevant field. The position is full-time, hybrid with two days onsite in Midtown Manhattan, and targets candidates in the Tri-State area.
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