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Manager Liquidity Risk Management Jobs in Texas (NOW HIRING)

... Financial Risk Management & Compliance * Oversee identification, measurement, and mitigation of treasury-related financial risks, including interest rate risk, credit risk, liquidity risk, and ...

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 ...

Strong knowledge of risk management functions, specifically financial risk (e.g., liquidity/treasury, market, counterparty credit risk) and related non-financial risk (e.g., model, operational) and ...

The Audit Manager contributes to the overall success of the Audit Function in support of the Audit ... g., liquidity/treasury, market, counterparty credit risk) and related non-financial risk (e.g ...

Liquidity Risk Management Initiatives/Projects: P-416801 Industry background: Banking-Regulatory Submissions (specifically FR-2052A), Liquidity Risk Management (LCR, NSFR) applications Team Dynamic:

Liquidity Risk Management Initiatives/Projects: P-416801 Industry background: Banking-Regulatory Submissions (specifically FR-2052A), Liquidity Risk Management (LCR, NSFR) applications Team Dynamic:

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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.

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Sr Manager Liquidity Regulatory Reporting and Infrastructure

Sr Manager Liquidity Regulatory Reporting and Infrastructure

Charles Schwab Inc.

Westlake, TX • On-site

$105K - $200K/yr

Full-time

Posted 5 days ago


Job description

Your Opportunity
At Schwab, you're empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together.
The Liquidity regulatory reporting team within the Treasury manages, monitors and ensures adherence to regulatory ratios including the Liquidity Coverage Ratio (LCR) and associated public disclosures, Net Stable Funding Ratio (NSFR), FR 2052a Liquidity Monitoring Report. We also develop tools to assist our business partners in analyzing the liquidity impacts of business decisions. We work with our second line partners to assist in the development of robust contingency liquidity analyses and plans to help identify emerging risks. This group is responsible for the design of company liquidity management policies, ensuring compliance at all times, and escalating issues to senior management as necessary. We work with internal and external partners on multiple ongoing examinations and audits of liquidity practices.
We are seeking a Sr. Manager LRR to enhance and streamline our operations through automation & technology. This role is responsible for optimizing operations related to the Liquidity Regulatory Reporting processes, integrating and maintaining various treasury platforms, and leveraging automation tools to improve efficiency, accuracy, reporting, and compliance. The Sr. Manager will maintain and enhance key relationships with our technology partners. And assist the business with their supervision requirement by performing daily comprehensive reviews of liquidity regulatory reports.
What you have
  • Bachelor's degree required.
  • CFA, FRM or MBA in finance a good to have.
  • 7+ years of related work experience
  • Prior people leader experience preferred
  • Deep expertise in at least one area of Liquidity Management a must - LCR, NSFR, FR 2052a, Liquidity Stress Testing, Reg YY.
  • Demonstrated detailed knowledge of finance and knowledge of liquidity risk management at a broker dealer.
  • Regulatory financial reporting, and experience in treasury management and oversight
  • Experienced with financial systems and financial data
  • Hands-on, functional capabilities with SQL and reporting tools like Tableau, Power BI
  • Ability to work in an agile, ambiguous environment
  • Excellent analytical, strategic planning, problem resolution skills
  • Ability to translate sophisticated business problems into discrete quantifiable components
  • Excellent oral and written communication skills

What you'll do:
  • Act as a liaison between the analytics and technology teams for Liquidity Regulatory Reporting which includes FR 2052a, LCR, NSFR and Liquidity Stress Testing
  • Overseeing daily production activities related to FR 2052a, LCR, NSFR, ensuring the accuracy and compliant with regulatory requirements.
  • Reviewing and validating key liquidity regulatory reports/metrics to confirm adherence to internal and external regulatory expectations, while supporting continuous improvements of processes and data quality
  • Plan and prioritize system updates, define long-term vision for application and system integration and upgrades for Liquidity Regulatory Reporting
  • Support leadership on any impact analysis or ad-hoc requests
  • Collaborate with Legal, RLO and external forums like BPI to maintain up to date interpretations and governance
  • Ensure compliance with Reg WW, Reg LL, LST regulations and Schwab's Liquidity Management Policy
  • Ensure maintenance of methodology document, model validations in accordance with model governance requirements
  • Setup governance processes and controls on all reporting processes
  • Work with Finance Data Governance team on aligning Liquidity reporting with the firm DG standards
  • Support 2nd Line, Audit and Compliance requests.
  • Assist tech team in providing business guidance in designing and implementing new process to facilitate stress testing
  • Provide detailed requirements for technology updates and ensure accuracy in testing all technology deployments
  • Setup technology SLAs and performance expectations
  • Support firm wide initiatives which rely on liquidity data

In addition to the salary range, this role is also eligible for bonus or incentive opportunities.