The Market and Liquidity Risk Oversight (MLRO) team performs independent risk management of the firm's balance sheet activities conducted by the company's Capital Markets group, Treasury group, and ...
The Market and Liquidity Risk Oversight (MLRO) team performs independent risk management of the firm's balance sheet activities conducted by the company's Capital Markets group, Treasury group, and ...
The Market and Liquidity Risk Oversight (MLRO) team performs independent risk management of the firm's balance sheet activities conducted by the company's Capital Markets group, Treasury group, and ...
The Market and Liquidity Risk Oversight (MLRO) team performs independent risk management of the firm's balance sheet activities conducted by the company's Capital Markets group, Treasury group, and ...
Project Management Skills: * Ability to manage multiple reporting workstreams simultaneously ... Strong understanding of liquidity risk and regulatory reporting concepts. * Demonstrated experience ...
Project Management Skills: * Ability to manage multiple reporting workstreams simultaneously ... Strong understanding of liquidity risk and regulatory reporting concepts. * Demonstrated experience ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
Senior Business Analyst, Liquidity, Market, and Capital Risk Oversight
Mclean, VA · On-site
$93K - $120K/yr
LMCRO is a second line of defense Independent Risk Management (IRM) function responsible for ... Basel), overall liquidity, market, and capital risk management frameworks, and regulatory ...
Senior Business Analyst, Liquidity, Market, and Capital Risk Oversight
Mclean, VA · On-site
$93K - $120K/yr
LMCRO is a second line of defense Independent Risk Management (IRM) function responsible for ... Basel), overall liquidity, market, and capital risk management frameworks, and regulatory ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
Washington, DC · On-site
Provides experienced support in the development and analysis of quantitative/econometric behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as balance ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
Washington, DC · On-site
Provides experienced support in the development and analysis of quantitative/econometric behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as balance ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
Provides experienced support in the development and analysis of quantitative/econometric behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as balance ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
Provides experienced support in the development and analysis of quantitative/econometric behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as balance ...
Ensures liquidity risk is managed within regulatory and board limits by maintaining the appropriate mix of funding for the enterprise asset composition * Develops balance sheet strategies to ...
Ensures liquidity risk is managed within regulatory and board limits by maintaining the appropriate mix of funding for the enterprise asset composition * Develops balance sheet strategies to ...
Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Asset & Liability Management, Liquidity, and Capital Oversight * Lead enterprise asset and liability management and liquidity risk oversight in alignment with ALCO, Derivative, and Investment ...
Asset & Liability Management, Liquidity, and Capital Oversight * Lead enterprise asset and liability management and liquidity risk oversight in alignment with ALCO, Derivative, and Investment ...
Our Impact: The Portfolio Risk Management Senior Business Lead conducts Enterprise Risk ... Lead assessment of counterparty financial strength, including liquidity, earnings, funding profile ...
Our Impact: The Portfolio Risk Management Senior Business Lead conducts Enterprise Risk ... Lead assessment of counterparty financial strength, including liquidity, earnings, funding profile ...
Our Impact: The Portfolio Risk Management Senior Business Lead conducts Enterprise Risk ... Lead assessment of counterparty financial strength, including liquidity, earnings, funding profile ...
Our Impact: The Portfolio Risk Management Senior Business Lead conducts Enterprise Risk ... Lead assessment of counterparty financial strength, including liquidity, earnings, funding profile ...
Asset & Liability Management, Liquidity, and Capital Oversight * Lead enterprise asset and liability management and liquidity risk oversight in alignment with ALCO, Derivative, and Investment ...
Asset & Liability Management, Liquidity, and Capital Oversight * Lead enterprise asset and liability management and liquidity risk oversight in alignment with ALCO, Derivative, and Investment ...
Vice President, Corporate Treasurer
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprisewide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Vice President, Corporate Treasurer
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprisewide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Vice President, Corporate Treasurer
Reston, VA · On-site
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprise-wide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Vice President, Corporate Treasurer
Reston, VA · On-site
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprise-wide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Clearing Financial Risk Analyst
Washington, DC · On-site +1
$153K - $267K/yr
Providing advice and consultation relating to financial risk management, including, but not limited to, credit risk, market risk, and liquidity risk on a broad range of asset classes including ...
Clearing Financial Risk Analyst
Washington, DC · On-site +1
$153K - $267K/yr
Providing advice and consultation relating to financial risk management, including, but not limited to, credit risk, market risk, and liquidity risk on a broad range of asset classes including ...
Vice President, Corporate Treasurer
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprisewide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Vice President, Corporate Treasurer
$190K - $304K/yr
Cash, Liquidity & Risk Management * Oversee enterprisewide cash flow forecasting, liquidity planning, and working capital optimization. * Ensure robust treasury controls, efficient global cash ...
Ensures liquidity risk is managed within regulatory and board limits by maintaining the appropriate mix of funding for the enterprise asset composition * Develops balance sheet strategies to ...
Ensures liquidity risk is managed within regulatory and board limits by maintaining the appropriate mix of funding for the enterprise asset composition * Develops balance sheet strategies to ...
... liquidity risk management to participants in the North American commodity markets. Nodal Exchange is a leader in innovation, having introduced the largest sets of environmental and electric power ...
Quick apply
Apply Early
... liquidity risk management to participants in the North American commodity markets. Nodal Exchange is a leader in innovation, having introduced the largest sets of environmental and electric power ...
Apply Early
Liquidity Risk Management information
See Washington, DC salary details
$41.3K - $51.8K
4% of jobs
$51.8K - $62.2K
13% of jobs
$69.8K is the 25th percentile. Wages below this are outliers.
$62.2K - $72.7K
11% of jobs
$72.7K - $83.1K
16% of jobs
The median wage is $85.8K / yr.
$83.1K - $93.6K
25% of jobs
$98.8K is the 75th percentile. Wages above this are outliers.
$93.6K - $104K
13% of jobs
$104K - $114.5K
8% of jobs
$114.5K - $124.9K
3% of jobs
$124.9K - $135.4K
1% of jobs
$135.4K - $145.8K
1% of jobs
$145.8K - $156.3K
5% of jobs
$41.3K
$93.2K
$156.3K
How much do liquidity risk management jobs pay per year?
What are the typical daily responsibilities of someone working in Liquidity Risk Management?
Professionals in Liquidity Risk Management are responsible for monitoring daily cash flows, analyzing liquidity positions, and assessing how market events could impact an organization's ability to meet its financial obligations. They frequently work with teams across treasury, finance, and risk departments to develop stress-testing scenarios, create liquidity reports, and recommend strategies to mitigate potential liquidity shortfalls. Additionally, they stay updated on evolving regulatory requirements to ensure compliance. The role involves both routine oversight and responding quickly to any emerging liquidity risks.
What is a Liquidity Risk Management job?
A Liquidity Risk Management job involves identifying, assessing, and mitigating risks related to a company's ability to meet short-term financial obligations. Professionals in this role monitor cash flows, liquidity ratios, and market conditions to ensure sufficient funding is available. They develop strategies to manage liquidity risk, such as stress testing, contingency planning, and optimizing cash reserves. Their work is crucial in preventing financial crises and maintaining regulatory compliance.
What are the key skills and qualifications needed to thrive in the Liquidity Risk Management position, and why are they important?
To thrive in Liquidity Risk Management, professionals typically need strong analytical skills, knowledge of financial markets, and a degree in finance, economics, or a related field. Familiarity with risk assessment software, financial modeling tools (like Excel, VBA, or Python), and certifications such as FRM or CFA are often advantageous. Excellent problem-solving abilities, communication skills, and attention to detail help individuals effectively interpret complex data and convey findings to stakeholders. These skills and qualities are vital to ensure an organization maintains adequate liquidity, manages risk, and complies with regulatory requirements.
Full-time
Posted 23 days ago
Capital One rating
7.8
Based on 142 frontline employees who took The Breakroom Quiz
71st of 144 rated banks
Job description
As a Senior Associate, Capital Markets and Risk at Capital One, you will apply your strategic and analytical skills to major company challenges. You will team with world-class professionals to develop and test strategies that ultimately impact the bottom line. And you will do it all in a collaborative environment that values your insight, encourages you to take on new responsibility, promotes continuous learning, and rewards innovation.
The Market and Liquidity Risk Oversight (MLRO) team performs independent risk management of the firm's balance sheet activities conducted by the company's Capital Markets group, Treasury group, and other lines of business engaged in managing our balance sheet. Our team's work includes risk analysis, strategic thinking, market research, and developing an independent perspective across risk factors influencing Capital One.
The MLRO team covers a wide range of risk management activities within Capital One. We are constantly evaluating financial markets and business trends to understand and quantify the impact to Capital One's risk management framework. This role will allow the successful candidate to grow into an expert on interest rate risk, liquidity risk, funds transfer pricing, stress testing, and other areas as well. You will interact with many different business groups with the ability to provide independent analysis and effective challenge. The ideal candidate will possess:
- Strong analytical thinking and problem solving skills
- Strong foundational understanding of finance and broader macro economics
- Comfort with data governance and data management with proven experience working with large data sets
- An understanding of the banking system and financial market concepts
- Fluency with python and experience using python in a financial setting
- Some experience using AI tools such as Gemini to automate and improve the day to day processes being run within a team
- The ability to communicate complex topics to a wide range of audiences
- Experience working in a liquidity risk team and an understanding of bank liquidity regulatory requirements a bonus
- An understanding of a bank balances sheet dynamics including securities investments, cash management, wholesale funding activity and loans/deposits a bonus
Specific Responsibilities, but are not limited to:
- Proactively engaging with lines of businesses and providing analytical support for research, analysis, and independent risk management in various areas of MLRO's oversight of balance sheet risk
- Become a subject matter expert in one or more areas of balance sheet risk oversight, such as interest rate risk, stress testing, liquidity risk, or funds transfer pricing
- Utilize technology to perform data analysis and support process automation as a source of independent risk assessment
- Understand and analyze financial market developments and regulatory guidance in relation to the impact on the balance sheet
- Interacting with key stakeholders across multiple organizations to evaluate risk and providing support for balance sheet analysis
Basic Qualifications:
- Bachelor's degree
- At least 1 year of experience in quantitative and qualitative analysis
Preferred Qualifications:
- Master's Degree in Business or quantitative field such as Finance, Economics, Physical Sciences, Math, Statistics, Engineering
- 2+ years of experience in risk management or capital markets
- 2+ years of experience in banking industry or equivalent financial services firm
- 2+ years of experience working with business intelligence tools
- 1+ years of experience in SQL, Python, Snowflake, and Excel
- 1+ years of experience in data analytic tools, including Tableau and Quicksites
- 1+ years of experience in bank stress testing, interest rate risk, or liquidity risk management practices or regulations
- 1+ year of experience in consulting
At this time, Capital One will not sponsor a new applicant for employment authorization for this position.
The minimum and maximum full-time annual salaries for this role are listed below, by location. Please note that this salary information is solely for candidates hired to perform work within one of these locations, and refers to the amount Capital One is willing to pay at the time of this posting. Salaries for part-time roles will be prorated based upon the agreed upon number of hours to be regularly worked.
McLean, VA: $111,200 - $126,900 for Sr. Analyst, Capital Markets & Risk
Candidates hired to work in other locations will be subject to the pay range associated with that location, and the actual annualized salary amount offered to any candidate at the time of hire will be reflected solely in the candidate's offer letter.
This role is also eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). Incentives could be discretionary or non discretionary depending on the plan.
Capital One offers a comprehensive, competitive, and inclusive set of health, financial and other benefits that support your total well-being. Learn more at the Capital One Careers website. Eligibility varies based on full or part-time status, exempt or non-exempt status, and management level.
This role is expected to accept applications for a minimum of 5 business days.
No agencies please. Capital One is an equal opportunity employer (EOE, including disability/vet) committed to non-discrimination in compliance with applicable federal, state, and local laws. Capital One promotes a drug-free workplace. Capital One will consider for employment qualified applicants with a criminal history in a manner consistent with the requirements of applicable laws regarding criminal background inquiries, including, to the extent applicable, Article 23-A of the New York Correction Law; San Francisco, California Police Code Article 49, Sections 4901-4920; New York City's Fair Chance Act; Philadelphia's Fair Criminal Records Screening Act; and other applicable federal, state, and local laws and regulations regarding criminal background inquiries.
If you have visited our website in search of information on employment opportunities or to apply for a position, and you require an accommodation, please contact Capital One Recruiting at 1-800-304-9102 or via email at RecruitingAccommodation@capitalone.com. All information you provide will be kept confidential and will be used only to the extent required to provide needed reasonable accommodations.
For technical support or questions about Capital One's recruiting process, please send an email to Careers@capitalone.com
Capital One does not provide, endorse nor guarantee and is not liable for third-party products, services, educational tools or other information available through this site.
Capital One Financial is made up of several different entities. Please note that any position posted in Canada is for Capital One Canada, any position posted in the United Kingdom is for Capital One Europe and any position posted in the Philippines is for Capital One Philippines Service Corp. (COPSSC).
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