Interest Rate Risk, Liquidity Risk, or Capital Oversight. * Understanding of first- and second-line ... Finance Work Experience General Experience - 10 to 15 years, Manager Experience - 6 to 10 years ...
Interest Rate Risk, Liquidity Risk, or Capital Oversight. * Understanding of first- and second-line ... Finance Work Experience General Experience - 10 to 15 years, Manager Experience - 6 to 10 years ...
Interest Rate Risk, Liquidity Risk, or Capital Oversight.* Understanding of first- and second-line ... Finance**Work Experience**General Experience - 10 to 15 years, Manager Experience - 6 to 10 years*
Interest Rate Risk, Liquidity Risk, or Capital Oversight.* Understanding of first- and second-line ... Finance**Work Experience**General Experience - 10 to 15 years, Manager Experience - 6 to 10 years*
Markets Liquidity Research & Analytics, Vice President
Manhattan, NY ยท On-site
$137K - $215K/yr
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Markets Liquidity Research & Analytics, Vice President
Manhattan, NY ยท On-site
$137K - $215K/yr
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Interest Rate Risk, Liquidity Risk, or Capital Oversight.* Understanding of first- and second-line ... Finance**Work Experience**General Experience - 10 to 15 years, Manager Experience - 6 to 10 years*
Interest Rate Risk, Liquidity Risk, or Capital Oversight.* Understanding of first- and second-line ... Finance**Work Experience**General Experience - 10 to 15 years, Manager Experience - 6 to 10 years*
Liquidity Risk Management Consultant - New York, NY (Hybrid - 2 days onsite per week)
New York, NY ยท On-site
Solid understanding of liquidity risk management concepts within banking/financial services. * Ability to work independently while demonstrating curiosity, initiative, and leadership qualities.
Quick apply
Liquidity Risk Management Consultant - New York, NY (Hybrid - 2 days onsite per week)
New York, NY ยท On-site
Solid understanding of liquidity risk management concepts within banking/financial services. * Ability to work independently while demonstrating curiosity, initiative, and leadership qualities.
Treasury Risk Analyst
Manhattan, NY ยท On-site
$100K - $130K/yr
... management and market products and services, preferred. * Understanding of key liquidity ... Prior work experience in a financial institution, preferred.
Quick apply
Treasury Risk Analyst
Manhattan, NY ยท On-site
$100K - $130K/yr
... management and market products and services, preferred. * Understanding of key liquidity ... Prior work experience in a financial institution, preferred.
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Are you passionate about navigating complex financial environments and advancing liquidity risk management at a global bank? The Commercial and Investment Bank Treasury is seeking a motivated ...
Treasury Risk Analyst
$100K - $130K/yr
... management and market products and services, preferred. * Understanding of key liquidity ... Prior work experience in a financial institution, preferred.
Treasury Risk Analyst
$100K - $130K/yr
... management and market products and services, preferred. * Understanding of key liquidity ... Prior work experience in a financial institution, preferred.
AVP US Liquidity Management
New York, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
New York, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
New York, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
New York, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
Vice President, Liquidity Reporting Operations
Jersey City, NJ ยท Hybrid
$99K - $105K/yr
Bachelor's degree in Business Administration, Finance, Enterprise Risk Management or a related ... Liquidity metrics and reporting requirements across US, Japan, and International (Basel Committee ...
Vice President, Liquidity Reporting Operations
Jersey City, NJ ยท Hybrid
$99K - $105K/yr
Bachelor's degree in Business Administration, Finance, Enterprise Risk Management or a related ... Liquidity metrics and reporting requirements across US, Japan, and International (Basel Committee ...
AVP US Liquidity Management
Manhattan, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
Manhattan, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
Support, manage and organize electronic data in core banking systems. Responsible for conducting ... Working knowledge of data analysis and statistical analysis in the financial industry. R. SAS, VBA ...
Support, manage and organize electronic data in core banking systems. Responsible for conducting ... Working knowledge of data analysis and statistical analysis in the financial industry. R. SAS, VBA ...
AVP US Liquidity Management
New York, NY ยท On-site
... Finance, Risk, and US businesses to enable timely data, aligned assumptions, and consistent ... knowledge of liquidity and funding risk measurement and management beyond "rules-only ...
AVP US Liquidity Management
New York, NY ยท On-site
... Finance, Risk, and US businesses to enable timely data, aligned assumptions, and consistent ... knowledge of liquidity and funding risk measurement and management beyond "rules-only ...
AVP US Liquidity Management
Manhattan, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
Manhattan, NY ยท On-site
The US Liquidity Management sits within the Americas Treasury Liquidity team. The team safeguards ... Knowledge of liquidity risk drivers for secured financing, derivatives, prime brokerage as well as ...
AVP US Liquidity Management
New York, NY ยท On-site
... Finance, Risk, and US businesses to enable timely data, aligned assumptions, and consistent ... knowledge of liquidity and funding risk measurement and management beyond "rules-only ...
AVP US Liquidity Management
New York, NY ยท On-site
... Finance, Risk, and US businesses to enable timely data, aligned assumptions, and consistent ... knowledge of liquidity and funding risk measurement and management beyond "rules-only ...
Become a subject matter expert (SME) in liquidity risk management, liquidity stress testing and liquidity regulations, preparing the individual for a future leadership role in Treasury/ Finance.
Become a subject matter expert (SME) in liquidity risk management, liquidity stress testing and liquidity regulations, preparing the individual for a future leadership role in Treasury/ Finance.
Become a subject matter expert (SME) in liquidity risk management, liquidity stress testing and liquidity regulations, preparing the individual for a future leadership role in Treasury/ Finance.
Become a subject matter expert (SME) in liquidity risk management, liquidity stress testing and liquidity regulations, preparing the individual for a future leadership role in Treasury/ Finance.
Model Risk Management Officer
Bethesda, MD ยท Hybrid
$152K - $261K/yr
Financial Risk Analytics and Advisory: Partner to provide review of stress testing methodologies, scenario analyses, assumptions, and results used across capital planning, liquidity risk management ...
Model Risk Management Officer
Bethesda, MD ยท Hybrid
$152K - $261K/yr
Financial Risk Analytics and Advisory: Partner to provide review of stress testing methodologies, scenario analyses, assumptions, and results used across capital planning, liquidity risk management ...
Financial Liquidity Risk Manager information
See salary details
$42K - $53.5K
2% of jobs
$53.5K - $65.1K
4% of jobs
$65.1K - $76.6K
6% of jobs
$76.6K - $88.2K
7% of jobs
$94K is the 25th percentile. Wages below this are outliers.
$88.2K - $99.7K
10% of jobs
$99.7K - $111.3K
12% of jobs
The median wage is $119.7K / yr.
$111.3K - $122.8K
12% of jobs
$122.8K - $134.4K
9% of jobs
$134.4K - $145.9K
6% of jobs
$145.9K - $157.5K
4% of jobs
$158.6K is the 75th percentile. Wages above this are outliers.
$157.5K - $169K
28% of jobs
$42K
$124.3K
$169K
How much do financial liquidity risk manager jobs pay per year?
What are popular job titles related to Financial Liquidity Risk Manager jobs?
For Financial Liquidity Risk Manager jobs, the most frequently searched job titles are:
Director, Treasury Risk Management
Saint Petersburg, FL โข On-site
Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Re-posted yesterday
Job description
Under limited direction, uses extensive knowledge of Treasury, Treasury Risk, or Financial Risk practices to provide director-level leadership across the three Treasury Risk stripes, Interest Rate Risk, Liquidity Risk, and Capital Oversight. Leads significant initiatives, interprets business and strategy to provide independent, well-reasoned challenge and recommendations to senior management.
The role requires strong judgment, critical thinking, and the ability to interpret complex financial and risk information. The Director establishes and fosters relationships across Treasury, Finance, Risk Management, and control functions, and presents risk perspectives, emerging issues, and recommendations to committees and senior leadership.
Job Description
Essential Duties and Responsibilities
- Provides leadership and subject matter expertise for Treasury Risk Management, with responsibility spanning one or more of Interest Rate Risk, Liquidity Risk, and Capital Risk
- Leads large or complex initiatives from problem definition through analysis, stakeholder alignment, recommendation, and execution.
- Provides effective review and challenge of treasury risk identification, measurement, monitoring, limits, governance, and escalation practices, as applicable to the role and line of defense.
- Interprets risk, financial, and management information; identifies trends, linkages, and emerging concerns; and develops clear, practical conclusions and recommendations.
- Establishes and fosters productive relationships with Treasury, Finance, business leaders, peer risk teams, Internal Audit, Legal/Compliance, and other control partners.
- Communicates complex treasury risk topics clearly to technical and non-technical audiences and presents risk assessments, recommendations, and emerging issues to governance committees and senior leadership.
- Influences positive change through sound analysis, constructive challenge, strong partnership, and demonstrated subject matter expertise.
- Contributes to the continued development of Treasury Risk Management frameworks, policies, standards, risk appetite measures, limits, monitoring, and reporting, as applicable.
- Monitors relevant regulatory developments and industry practices and assesses their implications for the firm's treasury risk management program.
- Builds effective working relationships with regulators and internal or external assurance partners, as appropriate.
- Provides coaching, knowledge sharing, and leadership to colleagues; Performs other duties and responsibilities as assigned.
Knowledge, Skills, and Abilities
- In-depth knowledge of banking and treasury risk management practices, with substantive experience in at least one of the following risk stripes: Interest Rate Risk, Liquidity Risk, or Capital Oversight.
- Understanding of first- and second-line risk management roles and responsibilities and the ability to operate effectively across organizational boundaries.
- Critical thinking and strong analytical judgment, including the ability to interpret data, assess implications, identify trends, challenge assumptions, and synthesize information into actionable conclusions. This role does not require a quantitative modeling background.
- Ability to lead initiatives, create structure around complex or ambiguous issues, coordinate stakeholders, and drive work to timely completion.
- Demonstrated ability to establish, foster, and sustain effective relationships with senior leaders, business partners, and control functions.
- Excellent verbal and written communication skills, including experience presenting complex or sensitive topics to committees and senior leadership.
- Ability to maintain a broad enterprise perspective while attending to important details and risk drivers.
- Curiosity, collaboration, and a willingness to share expertise while learning from colleagues with complementary strengths.
Educational/Previous Experience Requirements
- Bachelor's degree in Finance, Accounting, Economics, Business, Risk Management, or a related discipline, and ten (10) to twelve (12) years of relevant experience required; or an equivalent combination of experience, education, and/or training approved by Human Resources.
- Prior first- or second-line experience in Interest Rate Risk, Liquidity Risk, or Capital Risk is required. First-line Treasury experience is strongly preferred.
- Regulatory or regulatory-facing experience in treasury, capital, liquidity, or interest rate risk is valued.
- Experience leading cross-functional initiatives and presenting to governance committees and/or senior leadership is preferred.
Licenses/Certifications
Professional certifications relevant to treasury, finance, risk management, accounting, or audit are preferred but not required.
Education
Bachelor's: Accounting, Bachelor's: Business Administration, Bachelor's: Economics, Bachelor's: Finance
Work Experience
General Experience - 10 to 15 years, Manager Experience - 6 to 10 years
Certifications
Travel
Less than 25%
Workstyle
Hybrid
The total compensation for this position includes base salary or wages, and may include components such as additional compensation (cash or equity), discretionary bonuses, or commissions. This position is eligible for a benefits package that may include medical, dental, and vision; life insurance; critical illness insurance and accident insurance; disability benefits; retirement savings; paid time off (including vacation, holidays, and sick leave); and parental leave. Eligibility for benefits and specific offerings may vary based on position and employment status. To view more details of the benefits offered, visit Myrjbenefits.com.
At Raymond James our associates use five guiding behaviors (Develop, Collaborate, Decide, Deliver, Improve) to deliver on the firm's core values of client-first, integrity, independence and a conservative, long-term view.
We expect our associates at all levels to:
โข Grow professionally and inspire others to do the same
โข Work with and through others to achieve desired outcomes
โข Make prompt, pragmatic choices and act with the client in mind
โข Take ownership and hold themselves and others accountable for delivering results that matter
โข Contribute to the continuous evolution of the firm
At Raymond James - as part of our people-first culture, we honor, value, and respect the uniqueness, experiences, and backgrounds of all of our Associates. When associates bring their best authentic selves, our organization, clients, and communities thrive. The Company is an equal opportunity employer and makes all employment decisions on the basis of merit and business needs.
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About Raymond James & Associates The Woodlands, TX
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
1 - 10 Employees
Headquarters location
The Woodlands, TX, US
Year founded
1966