Accounting & Finance

Risk Manager

Virtual Vocations Inc

Workfromhome · Nationwide · United States

To support the development of liquidity risk monitoring and stress testing programs, the full-time remote Financial Risk Manager will build and maintain daily liquidity reporting, streamline data pipelines, and implement intraday monitoring and stress testing capabilities while collaborating cross-functionally across Treasury, Finance, Operations, and Risk. Key responsibilities Build and own daily liquidity reporting and streamline data pipelines to ensure accurate views of liquidity positions Develop and implement intraday and longer-term stress testing capabilities, including Monte Carlo simulations Design alerting frameworks and controls to support liquidity risk governance and facilitate timely decision-making Required qualifications 2-4 years of experience in liquidity risk, treasury, or financial risk within a broker-dealer, bank, or fintech environment Solid understanding of broker-dealer liquidity and capital requirements, including SEC Rules 15c3-1 and 15c3-3 Hands-on experience with liquidity reporting, data pipelines, and stress testing programs Proficiency in SQL and Python for data analysis and reporting automation Familiarity with Treasury operations and risk governance concepts in a regulated environment

Reference: WJ-2926_4677736

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