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Senior Risk Management Specialist

1 month ago


Étreux, Hauts-de-France, United States BNY Mellon Full time
About the Role

The Senior Risk Management Specialist will be responsible for overseeing the Liquidity Risk at BNY Mellon. This role is part of the second line of defense, ensuring that Liquidity Risk is identified, measured, controlled, reported, and monitored by the first line of defense. The team's duty includes reviewing and challenging the first line of defense's Liquidity Risk management processes, owning the Liquidity Risk limit framework, and reviewing the Liquidity Risk aspects of significant new products/services, business process changes, and entity structures/acquisitions/divestures changes.

Key Responsibilities
  1. Applying knowledge of market or liquidity risk management best practices and financial markets in support of analyzing, monitoring, and measuring risk.
  2. Understanding the end-to-end Risk Management process, Models, and Risk limits to support review and challenge, and improvements to the existing framework.
  3. Working with senior management roles to ensure that the appropriate Liquidity Risk policies, methods, standards, processes, and training are developed, applied, and understood by impacted stakeholders.
  4. Prioritize resiliency in providing oversight, particularly in reviewing recovery and resolution planning (RRP) frameworks and associated practices.
  5. Perform ongoing analysis and monitoring of risk exposures including liaising with business partners to understand and validate significant movements in metrics.
  6. Producing (and may deliver) risk presentations to senior management.
  7. Anticipates and addresses Audit and regulatory concerns regarding the Liquidity Risk framework, governance, and operations to promote compliance with appropriate internal and external standards.
  8. In partnership with management, establishes and supports the Liquidity Risk strategy for the business area(s) and is accountable for ensuring the implementation of that strategy.
  9. Lead the development and implementation of tools and procedures to measure and monitor multiple risks hierarchically and across the entire organization including interacting with technology and first line colleagues.
  10. Develop and document processes to ensure consistency of practices within Treasury Risk.
  11. Manage existing processes to ensure accurate and timely implementation.
  12. Oversees, advises, and guides less experienced Liquidity Risk roles and may direct their work.
Requirements
  1. Bachelor's degree or the equivalent combination of education and experience is required. Master's degree preferred.
  2. Minimum of 5 years of total work experience with 6-10 years of experience in market or liquidity risk preferred.
  3. Experience in financial services is preferred.
  4. Background in math, statistics, finance, economics, risk management, operations research, or a similar field is preferred.
  5. Knowledge of funding, cash flow projections, deposits (including operational and behavioral views), liquidity measures, liquidity stress testing, and relevant regulation (e.g., CLAR/ILAAP, LCR, NSFR, Recovery and Resolution Planning / RRP) is preferred.
About BNY Mellon
BNY Mellon is a leading global financial services company at the center of the world's financial system. We touch nearly 20% of the world's investible assets. Our culture empowers you to grow and succeed. We continue to be a leader in the industry, awarded as a top home for innovators and for creating an inclusive workplace. Through our unique ideas and talents, together we help make money work for the world. This is what #LifeAtBNY is all about. We're seeking a future team member for the role of Senior Risk Management Specialist to join our Treasury Risk team. This role is located in Pittsburgh, PA and Lake Mary, FL in a Hybrid work environment.