Global Markets Risk Sr Manager
Company: Disability Solutions
Location: Charlotte
Posted on: November 11, 2024
Job Description:
Job Description:At Bank of America, we are guided by a common
purpose to help make financial lives better through the power of
every connection. Responsible Growth is how we run our company and
how we deliver for our clients, teammates, communities and
shareholders every day.One of the keys to driving Responsible
Growth is being a great place to work for our teammates around the
world. We're devoted to being a diverse and inclusive workplace for
everyone. We hire individuals with a broad range of backgrounds and
experiences and invest heavily in our teammates and their families
by offering competitive benefits to support their physical,
emotional, and financial well-being.Bank of America believes both
in the importance of working together and offering flexibility to
our employees. We use a multi-faceted approach for flexibility,
depending on the various roles in our organization.Working at Bank
of America will give you a great career with opportunities to
learn, grow and make an impact, along with the power to make a
difference. Join us!Job Description:This job is responsible for the
local and/or global management and direction of applicable market
related risk management functions within a specific product area.
Key responsibilities include monitoring and adhering to market risk
management policies, procedures, and standards, and implementing
new/complex product approval processes, analysis of model risk,
analysis and reporting of market risk, distributing the market risk
reports, and interfacing with the trading desk and other risk and
support groups (i.e., Compliance, Finance, Operations,
etc.).Responsibilities:
- Provides oversight of identification of market risk exposures
and mitigation strategies and resolutions in accordance with the
bank's risk appetite and risk limits identified, as well as
regulatory requirements, as applicable
- Provides oversight of risk requests, breach remediations and
providing risk effective challenges for front line units
- Oversees development of market risk coverage plans, execution
of monitoring, testing and risk assessments, and market risk
reporting for specific products
- Liaisons with businesses to understand market trends and
impacts on portfolio, using knowledge of stress testing and its
applicability to market risk
- Ensures adherence to the policies and procedures established by
the companyEnterprise Financial Risk (EFR) seeks to deliver
effective independent risk management of the activities and
processes associated with managing the Company's capital, liquidity
and earnings risks, including the market/price risk in the CFO
managed securities portfolio. As the Chief Risk Officer (CRO)
function covering the Chief Financial Officer (CFO) Group, we also
bring together a holistic point of view across all seven risk types
for the Company's CFO.The team helps Bank of America grow
responsibly through developing our teammates, promoting a diverse
and inclusive culture, and approaching our work with intellectual
curiosity. EFR delivers its mission through a steadfast commitment
to its values: cultivating diversity of thought and valuing
different perspectives and experiences; promoting learning,
fostering relationships and creativity; developing talent,
advancing careers, and creating leaders within Global Risk
Management and across the company. Our goal is to ensure that a
healthy and sustainable liquidity, capital and interest rate risk
(IRR) profile is maintained through baseline economic scenarios, as
well as during times of market and idiosyncratic stress.The
Interest Rate Risk and CFO Price Risk team under the Enterprise
Financial Risk group within Global Risk Management is looking for a
risk analyst responsible for independent risk oversight the firm's
investment activities. The Interest Rate Risk and CFO Price Risk
team is responsible for oversight of the measurement and management
of Interest Rate Risk (IRR) for the company as well as Market Risk
oversight for hedging activities managed within the CFO
Organization. This role will primarily focus on the activities done
to manage the firm's overall Interest Rate Risk position including
both fixed income security investments and derivative activity.
Through this role, the candidate will need to both evaluate
expected impacts to our company's overall Interest Rate Risk
profile as well as potential risks to other key metrics including
capital, liquidity, and credit risk.Required Qualifications:---
Background in Finance, Engineering or Computer Science--- 2-3
year's experience working with Traded Products, preferably Agency
and Non-Agency Securitized Products and Interest Rate
Derivatives--- Familiarity with industry standard Interest Rate
Risk measures such as Earnings at Risk (EaR) and Economic Value of
Equity (EVE)--- Understanding of implications associated with
security and derivative accounting elections.--- Experience with
Bloomberg, Python and SQL is a plus.--- Ability to communicate
effectively with senior stakeholders and independently lead
initiatives.Skills:
- Analytical Thinking
- Critical Thinking
- Portfolio Analysis
- Risk Analytics
- Collaboration
- Decision Making
- Oral Communications
- Presentation Skills
- Written Communications
- Issue Management
- Monitoring, Surveillance, and Testing
- Regulatory Compliance
- Technical Documentation
- Trading StrategyShift:1st shift (United States of America)Hours
Per Week: 40
Keywords: Disability Solutions, Charlotte , Global Markets Risk Sr Manager, Executive , Charlotte, North Carolina
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