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Liquidity & Market Risk VP

Social Capital Resources
New York, NY Full Time
POSTED ON 2/1/2025
AVAILABLE BEFORE 3/2/2025

Top-Tier Bank in Midtown, Manhattan is seeking a Liquidity & Market Risk VP!


Responsibilities:


  • Responsible for overseeing the company's liquidity management strategy and market risk framework.
  • Leading a team to ensure adequate liquidity to meet operational and regulatory requirements while safeguarding against market volatility
  • Identification, assessment, monitoring, measurement, analysis, communication and reporting on market risk and liquidity risk
  • Provide strategic insights to executive leadership on risk exposures and capital management.
  • Work with internal stakeholders to optimize liquidity positions and ensure regulatory compliance.


Qualifications:


  • Demands strong expertise in financial markets, risk management principles, and regulatory requirements, with a focus on optimizing balance sheet efficiency and capital usage.
  • Bachelor's Degree in Quantitative discipline required.
  • Advanced degree preferred
  • 7 years of related experience in market risk, treasury or asset liability management
  • Certificate of FRM is a preferred
  • Strong understanding of market risk models, liquidity strategies, and regulatory frameworks.
  • Mandarin speaking is a must have

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