A Top American Investment Bank is hiring a Head of Treasury and IRR Reporting to manage the oversight across interest rate risk methodology, measurement and reporting frameworks to sit out of their NY office.
This hire will report directly up to the Global Head of the business line and work cross-functionally with senior stakeholders across Treasury, Risk, Controllers, Business, Technology, Regulators, etc.
This hire will be responsible for leading the interest rate risk process for the Front Office Treasury and other senior management oversight committees, covering analytical insight for risk exposures and limits, ensuring accurate reporting, and resolving complex modeling and methodology issues.
Responsibilities:
- Leading the IRR reporting for the Front Office Treasury and other senior management oversight committees
- Insight and analytics across risk limits, drivers, and exposures
- Resolving complex modeling and methodology issues
- Oversight of strategic initiatives
- Leading a complete and accurate reporting process
Qualifications:
- 8-10+ years of experience in a senior management function
- Ability to work cross-functionally with different business lines
- Extensive knowledge across treasury and interest rate risk
- Prior experience with risk reporting on a large scale