EFR Liquidity Risk Manager
Company | Bank of America |
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Location | Charlotte, NC, USA, New York, NY, USA |
Salary | $110000 – $180000 |
Type | Full-Time |
Degrees | |
Experience Level | Senior, Expert or higher |
Requirements
- Intellectual curiosity and learning agility to accurately interpret, understand and evaluate a variety of risks across multiple risk types and interconnectivity between risk types
- Strong technical and analytical skills (including both analysis of financial data and written reports)
- Treasury, Markets Risk, Finance / Accounting or Risk Management experience. Note, Diverse backgrounds or experiences welcomed
- Talks and writes in a clear, concise, organized, and convincing manner for the intended audience
- Strong business-centric mindset with ability to utilize sound business judgment and tailor approach to drive optimal business outcomes
Responsibilities
- Participates in establishing risk management procedures and standards
- Conducts execution of risk framework activities including independent monitoring and testing of controls and risk management processes for the Line of Business (LOB)
- Liaisons with businesses to understand market trends and impacts on portfolio, using knowledge of stress testing and its applicability to risk categories
- Ensures adherence to the policies and procedures established by the company
- Manages risk requests, breach remediations and providing risk effective challenges for front line units
- Develops risk management analyses, reports, and approval procedures and guidelines on risk limits by type of product and/or transaction
Preferred Qualifications
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No preferred qualifications provided.