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5 часов назад

Senior Manager, Finance Risk Strategy and Analytics

130 000 - 170 000$
Формат работы
hybrid
Тип работы
fulltime
Грейд
senior
Английский
b2
Страна
US
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Senior Manager, Finance Risk Strategy and Analytics (Financial Risk Management): Designing and enhancing liquidity, capital, market, and regulatory risk frameworks while delivering quantitative analysis and executive recommendations with an accent on balance sheet, funding, and emerging financial market risks. Focus on evaluating strategic initiatives and digital assets, building executive risk dashboards, and monitoring exposures across scenarios, legal entities, and business units.

Location: Hybrid role based in Westlake, TX or San Francisco, CA

Salary: USD $130,000–$170,000 per year

Company

hirify.global is a financial services company focused on brokerage, investment, and finance solutions.

What you will do

  • Design and enhance liquidity, capital, market, and regulatory risk frameworks, including risk appetite, limits, triggers, key risk indicators, and contingency plans.
  • Evaluate new business initiatives, products, digital asset activities, and emerging opportunities for their balance sheet, capital, liquidity, funding, and market risk implications.
  • Conduct quantitative and qualitative analysis, peer benchmarking, industry surveillance, and macroeconomic monitoring to identify emerging risks and opportunities.
  • Prepare executive-level presentations and recommendations for senior management, governance committees, and regulators.
  • Develop financial risk dashboards, reporting, analytics, and automation covering exposures, concentrations, forecasts, sensitivities, and cross-risk impacts.
  • Support Finance, Treasury, and firmwide strategic priorities through ad hoc analysis and special projects.

Requirements

  • Bachelor’s degree in Finance, Economics, Business, or a related field.
  • 7+ years of experience in Treasury, Finance, Risk Management, Capital Management, Liquidity Risk, Market Risk, ALM, FP&A, or related disciplines.
  • Strong understanding of banking and broker-dealer business models and financial risk management frameworks.
  • Experience with capital, liquidity, market, and regulatory risk management, including Enhanced Prudential Standards.
  • Knowledge of balance sheet management, funding strategies, and financial risk measurement.
  • Strong analytical, strategic thinking, communication, prioritization, and problem-solving skills.

Nice to have

  • Master’s degree or a CFA, FRM, CPA, or similar professional designation.
  • Experience with ALCO, executive or board committees, regulatory examinations, contingency funding, capital planning, or stress testing.
  • Knowledge of funds transfer pricing, balance sheet optimization, and asset-liability management.
  • Experience with digital assets, fintech, emerging financial markets, or new product evaluation.
  • Experience with SQL, Tableau, Power BI, Python, Alteryx, or similar analytics and visualization tools.

Culture & Benefits

  • Hybrid work and flexibility approach with regular in-person collaboration.
  • 401(k) with company match and employee stock purchase plan.
  • Paid vacation, volunteering time, and a 28-day sabbatical after five years for eligible positions.
  • Paid parental leave and family-building benefits.
  • Tuition reimbursement and health, dental, and vision insurance.

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