Head of Market Risk
Location: Remote
Compensation: To Be Discussed
Reviewed: Thu, Sep 17, 2026
This job expires in: 30 days
Job Summary
Leading independent second-line oversight of liquidity and market risks, the full-time Head of Market & Liquidity Risk will manage risk assessments, collaborate with Finance and Treasury, and develop financial-risk policies in a remote or onsite capacity across various U.S. locations.
Key Responsibilities:
- Lead the framework for identifying, measuring, monitoring, and reporting liquidity, interest-rate, funding, and related market risks
- Serve as the primary independent Risk partner to Treasury and Finance, challenging balance-sheet strategies and liquidity management
- Oversee liquidity-risk monitoring and stress testing, including independent assessments of deposit behavior and funding capacity
Required Qualifications:
- 12+ years of experience in liquidity risk, interest-rate risk, or broader financial-risk management
- Experience in an independent second-line role at a regulated bank, financial institution, or fintech
- Deep knowledge of liquidity, funding, and interest-rate risk measurement
- Proven ability to challenge Treasury strategies and build productive working relationships
- Strong independent judgment and ability to translate quantitative analysis into practical recommendations
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