Senior Financial Risk Manager
Job is Expired
Location: Remote
Compensation: To Be Discussed
Reviewed: Wed, Mar 11, 2026
Job Summary
A company is looking for a Financial Risk Manager.
Key Responsibilities
- Set standards for managing capital, market, and liquidity risk, including defining risk appetite statements
- Ensure compliance with US regulatory frameworks and lead responses to financial risk regulatory changes
- Develop and implement stress-testing frameworks and participate in the Internal Capital Adequacy Assessment Process
Required Qualifications
- Expertise in financial risk management within US-based multi-asset investment firms or banks
- Quantitative proficiency to build and challenge complex risk models
- Solid understanding of US financial regulations
- Deep market insight of US and global financial markets and trading products
- Bachelor's degree in finance, economics, engineering, or a highly quantitative field
COMPLETE JOB DESCRIPTION
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Job is Expired