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AVP, Treasury Risk

3 months ago


East Canton, United States Synchrony Financial Full time

Role Summary/Purpose: This role contributes to implementing, maintaining and enhancing the independent oversight framework for Synchrony Treasury's market & liquidity risk management practices to ensure compliance with internal policies, procedures and regulatory requirements. The employee will participate in ongoing monitoring, concurrent and targeted reviews of risk management processes across Treasury to help identify opportunities for enhancements. Essential Responsibilities: Provide analytical support in assessing liquidity risk management processes, including liquidity stress testing assumptions, contingency funding plan and early warning indicators (EWIs), cash flow projections, etc. Provide analytical support in reviewing various components of interest rate risk (IRR) framework, including stress scenarios and assumptions and methodology for both net interest income (NII) and economic value of equity (EVE) simulations Assist in annual market and liquidity risk limits setting process Monitor limits, escalation thresholds, front line triggers and liquidity EWIs Support regulatory exams and internal audits Support cross-functional initiatives in oversight of capital, finance, as well as firm-wide governance as needed Manage and track issues identified during independent reviews Perform other ad hoc and/or special projects as instructed Qualifications/Requirements: Bachelor's Degree in finance, business administration, economics or STEM majors Minimum 3 years of experience in Treasury, Capital, Finance, Credit, or related risk oversight functions in a financial institution In lieu of Bachelor's Degree, 6 years of experience in Treasury, Capital, Finance, Credit, or related oversight functions in a financial institution Minimum 2 years advanced Excel data analysis and PowerPoint skills Desired Characteristics: Graduate degree with quantitative underpinning, CFA/FRM or other relevant certifications or designations Intermediate/Advanced EXCEL skills with demonstrable familiarity with pivot-tables, worksheet formulas and other techniques Intermediate/Strong PowerPoint skills, including ability to create understandable presentations that incorporate graphs other visual aides to portray complex subjects Demonstrated experience analyzing business data Knowledge of regulatory rules and guidance in market and liquidity risk Experience with interest rate risk management software Strong communication, interpersonal and process/project management skills

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