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Manager Liquidity Risk Management Jobs in Arizona

The ideal candidate brings extensive experience in financial services risk management, with deep expertise in areas such as market risk, credit risk, liquidity risk, interest rate risk, asset ...

Asset Management (AM), Commercial & Investment Bank (CIB) and Consumer & Community Banking (CCB). As a Liquidity Risk Reporting Vice President in the Corporate Treasury Middle Office (CTMO), part of ...

New

Risk Management Contract Job No.: 500120 Employment Type: Contract Departments: Risk Management Department Job Functions: Risk Management Job Responsibilities The incumbent will be acting as a ...

The Risk Management Specialist supports the Company's insurance, claims, and risk management programs through a combination of program administration, claims oversight, insurance compliance review ...

The Risk Management Specialist supports the Company's insurance, claims, and risk management programs through a combination of program administration, claims oversight, insurance compliance review ...

The Risk Management Specialist supports the Company's insurance, claims, and risk management programs through a combination of program administration, claims oversight, insurance compliance review ...

Risk Management Specialist

Phoenix, AZ Β· On-site +1

$29.96 - $44.94/hr

Reporting to the Chief Legal Officer and the Legal Operations Manager, the Risk Management Specialist processes all general liability and property damage claims and assists with the development of ...

Risk Management and Asset Manager

AZ Β· On-site

$41K - $45K/yr

Risk Management and Asset Manager General Services Department Capital Projects Tsaile Campus Duty Schedule: Monday to Friday, 8 AM to 5 PM. Summary/Objective of Position: * Insurance Administration

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Manager Liquidity Risk Management information

What is the difference between Manager Liquidity Risk Management vs Liquidity Analyst?

AspectManager Liquidity Risk ManagementLiquidity Analyst
ResponsibilitiesOversees liquidity risk policies, manages teams, develops strategiesAnalyzes liquidity data, monitors cash flows, prepares reports
Required CredentialsBachelor's degree, often CFA or FRM, experience in risk managementBachelor's degree, finance or related field, strong analytical skills
Work EnvironmentManagement level, strategic planning, cross-department collaborationAnalytical, data-driven, primarily office-based
Industry UsageCommon in banking, financial services, and asset managementWidely used in banking, investment firms, and financial institutions

The main difference is that the Manager Liquidity Risk Management focuses on leading liquidity risk strategies and managing teams, while the Liquidity Analyst concentrates on analyzing data and monitoring liquidity metrics. Both roles are essential in financial institutions but differ in scope and seniority.

What are the most commonly searched types of Liquidity Risk Management jobs in Arizona?

The most popular types of Liquidity Risk Management jobs in Arizona are:

What are popular job titles related to Manager Liquidity Risk Management jobs in Arizona?

For Manager Liquidity Risk Management jobs in Arizona, the most frequently searched job titles are:

What job categories do people searching Manager Liquidity Risk Management jobs in Arizona look for?

The top searched job categories for Manager Liquidity Risk Management jobs in Arizona are:

What cities in Arizona are hiring for Manager Liquidity Risk Management jobs?

Cities in Arizona with the most Manager Liquidity Risk Management job openings:

Senior Risk Management Manager

Phoenix, AZ β€’ On-site

Other

Posted 6 days ago


Job description

Senior Risk Management Manager

Job No.: 500119
Employment Type: Full time
Departments: Risk Management Department
Job Functions: Risk Management

Job Responsibilities:

  • Conduct risk assessment on various initiatives, including new products, strategic asset allocation (SAA) and tactical asset allocation (TAA) review, and hedge programmes, to ensure alignment with the company’s risk appetite, internal governance and regulatory requirements.
  • Monitor and assess Asset-Liability Management (ALM) risks and contribute to investment, capital, and liquidity management discussions.
  • Evaluate and oversee capital adequacy and liquidity risk to ensure product balance sheet management. Monitor and manage market and non-market risks.
  • Support Par fund management and investment planning from a risk perspective.
  • Lead investment risk management initiatives to enhance the governance framework, risk control, oversight, and monitoring of market risks.
  • Identify and evaluate emerging risks, conducting scenarios analysis and maintaining proactive awareness of industry and macroeconomic trends.
  • Participate in regular risk reporting and ad-hoc risk-related projects

Job Requirements:

  • Degree in Actuarial Science, Risk Management, Finance, or related disciplines.
  • Professional qualification such as FSA, FRM, CFA, or equivalent.
  • A minimum 9 years of solid experiences in risk management, actuarial, or investment functions within life insurance industry.
  • Strong understanding of insurance capital framework, par fund management and/or risk governance practices is preferred.
  • Excellent analytical, problem solving and communication skills.
  • Ability to work collaboratively with cross-functional teams and senior stakeholders.
  • Proficient in spoken & written English & Chinese (Cantonese & Mandarin).
  • We offer 5-day work week, attractive remuneration package and excellent training & development opportunities.

Data collected will be used for recruitment purpose only.

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