Liquidity Risk Specialist

3 dni temu


Kraków, Lesser Poland STATE STREET CORPORATION Pełny etat
GLOBAL TREASURY RISK MANAGEMENT OVERSIGHT

Banking is a risk-taking business. The goal of ERM is to ensure that STATE STREET CORPORATION's risks are proactively identified, well-understood, and prudently managed in support of our business strategy.

  • GTRM plays a critical role in the overall success of the organization.
  • Our team is responsible for identifying, analyzing, monitoring key financial risks of STATE STREET CORPORATION including liquidity risk, interest rate risk, and mark-to-market risk.

POSITION PRIMARY DUTIES AND RESPONSIBILITIES

The Treasury Risk Senior Manager, Assistant Vice President within GTRM will focus on liquidity risk management. This individual should have experience within a banking organization and possess good verbal and written communication skills for interactions within GTRM as well as with internal and external stakeholders including global business partners and regulators.

This individual will actively support the independent review and challenge of liquidity risk, including supporting liquidity stress testing methodologies/assumptions review and challenge, impact analysis, design/review of policies, procedures and processes related to liquidity stress testing (ILST/RLAP) as per Reg YY requirements.



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