Compliance Manager

Contract: New York, New York, US

Salary Range: 60.00 - 70.00 | Per Hour

Job Code: 357240

End Date: 2025-02-05

Days Left: 27 days, 16 hours left

Job description:
Position Details:  Risk Management Professional
Location:  New York City, NY 10020 (Hybrid)
Duration: 6 months
Rate: $60/hr to $70/hr
 
Resolution Projections
  • Implement resolution-specific assumptions into liquidity risk management software for two entities
  • Develop and refine EUC (end user computing) to incorporate complex assumptions not directly captured in projection tools
  • Execute resolution scenario through combination of internal software and offline end-user-computing tools
  • Facilitate review & challenge of resolution projections
  • Work with stakeholders in Treasury, Risk and line of business to implement overlays and changes into production output
  • Work alongside Legal, Risk and Treasury professionals on resolution strategy and financial analysis
  • Evaluate inputs and outputs to ensure connectivity and appropriateness
  • Stress projection output through varying assumptions
Balance Sheet Management
  • Translate cash flow output into balance sheet impacts
  • Work with Treasury and LRM to review and revise narrative to describe results and impacts to liquidity and balance sheet positions
  • Coordinate with SMEs and section drafters/reviewers regarding content, timeline, and financial analysis results
  • Evaluate contingent funding actions under a range of scenarios and outcomes
  • Review & Challenge for Financial Results
  • Lead review & challenge for key stakeholders on projections output
  • Develop materials to effectively conduct reviews
Financial Projections
  • Evaluate detailed projections of balance sheet and income under resolution
  • Facilitate quality control of process, assumptions and results to ensure that documents accurately reflect outcomes
Technical Writing
  • Draft writing of procedural documentation to support process change descriptions
  • Work with business SMEs to draft components of the resolution plan narrative
Skills Experience Requirements
  • Liquidity risk experience, preferrably with a bank or other financial institution, at VP or above level
  • Familiar with Treasury activities at foreign bank organizations
  • Direct experience with developing and implementing financial forecasts for balances and liquidity
  • Liquidity counter-measures and decisioning
Technical Skills
  • Strong technical skillset with proven ability to translate liquidity and business concepts into technical implementation steps
  • MS Excel, SQL and VBA
  • Built out comprehensive business requirements documents
Financial Services Experience
  • 10+ years in financial services
  • Familiarity with foreign bank treasury operations and broker-dealer
  • Regulatory experience, preferably with CCAR/DFAST and resolution planning
Job Requirement
  • Liquidity risk
  • Excel
  • pivot table
  • VBA
  • SQL
  • Balance sheet management
  • Documentation
  • CCAR
  • DFAST
Reach Out to a Recruiter
  • Recruiter
  • Email
  • Phone
  • Varnit Patel
  • varnit.patel@collabera.com
Apply Now
Apply Now
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