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Associate to AVP, Treasury and Liquidity Risk Officer

3 months ago


New York, United States Network ESC A Division of Network Temps, Inc. Full time

IMMEDIATE FULL-TIME DIRECT HIRE OPPORTUNITY

Associate to AVP-Level, Treasury and Liquidity Risk Officer

Top International Trust and Investment Bank

New York, NY

Hybrid - 4 Days Remote/1 Day On-Site in Midtown, NYC

$125-135K + Bonus + Benefits

Apply: Qualified candidates, please email CV with salary requirements to cjason@networkesc.com.

*TO BE ELIGIBLE FOR CONSIDERATION, APPLICANTS MUST HAVE US WORK AUTHORIZATION - UNFORTUNATELY, NO H1B or OPT/STEM WILL BE CONSIDERED FOR THIS ROLE

#Credit #CreditRisk #structuredfinance #CLO #CollateralizedLoanObligations #InvestmentManagement


Department Overview:


The Americas Division (“AD”) was established in the Bank, Limited, New York Branch) to perform corporate functions and supervise U.S. entities. Established under the AD are the “Global Banking Unit (“GBU”), Americas Division” and “Global Market Unit (“GMU”), Americas Division” which performs business functions. The Treasury Team (“MTR”) focuses on Funding Activities and Security and Forex Investments. The Treasury Team is divided into the ALM and Investment Accounts. The Front Office Risk Management & Administration Team’s (“FORMAT/ MFM”) primary responsibility is to establish and maintain a sound risk management structure regarding compliance and operational risks within the GMU.


Your Role Overview:


Treasury Risk Analyst

Primarily responsible for monitoring liquidity risks in Americas Division to comply with internal and regulatory requirements. Provide liquidity risk monitoring reports, perform stress scenario updates, and improve reports for accurate and timely reporting.


FORMAT Analyst

Primarily responsible for monitoring regulations. Work with risk owners to ensure that GMU complies with all required regulations. Perform tasks concerning credit line management, performs account maintenance and assist traders with necessary risk management and infrastructure management. Liaison with Head Office.


Your Duties and Responsibilities:


Treasury Risk Analyst

  1. Ensure stress testing is performed to assess the impact of cash movements for heightened monitoring and reporting.
  2. Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan.
  3. Implement other risk management frameworks and ensure they are performed.


FORMAT Analyst

  1. Primarily responsible for monitoring regulations. Wors with risk owners to ensure that GMU complies with all required regulations. May be responsible for creating regulatory frameworks for GMU.
  2. Perform transactions / counterparties review and prepare monthly reports.
  3. Perform operational risk management, manage various project teams as assigned, as well as development and improvement of internal controls.
  4. Assist with procedure manuals updates, FRB / NYSDFS examinations, compliance testing, and audits as needed.
  5. Ensure proper credit line and counterparty risk management.
  6. May liaise with Head Office.
  7. Performs other duties and responsibilities as assigned by management.


Your Qualifications:


  1. Bachelor’s degree or equivalent, in finance, economics, data processing and programming with 5+ years of related experience
  2. Advanced in Microsoft 365 (Word, and Outlook), intermediate knowledge of Excel. Basic understanding of Visual Basic Application, Access, and PowerPoint preferred.
  3. Knowledge of risk management and market products and services, preferred.
  4. Understanding of key liquidity regulations such as Reg YY, FR 2052a, LCR and NSFR
  5. Knowledge of ISDA and CSA, preferred.
  6. Prior work experience in a financial institution, preferred.