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US Bank Senior Financial Risk Manager Category Corporate 
Ireland, Dublin 
885071222

Yesterday
Job Description

The Senior Financial Risk Manager provides leadership, direction and support to the Head of Enterprise Risk in reviewing and challenging the financial risks that Enterprise Risk provides second line oversight of.

Principal Accountabilities:

  • Maintaining a strategic perspective on the market, socio-economic, political, regulatory and industry-specific events, and providing management with key emerging insights into their potential implications on the Bank’s risk profile.
  • Establish successful collaborative relationships with key business units and with both FLOD and SLOD stakeholders.
  • Provide second line oversight of the Bank’s liquidity and market risks (including IRRBB, FX, CSRBB) through the review and challenge of the Bank’s local Treasury and Financial Risk Management teams, as well as the Bank’s ICAAP, ILAAP, and Recovery Plan documents.
  • Enhance the Bank’s Market and Liquidity Risk oversight as the Bank matures and expands its Balance Sheet optimisation programme.
  • Prepare quarterly assessment reports to the Bank’s Executive Risk Committee on its liquidity and market risk profiles.
  • Produce periodic business model scenarios and sensitivity analysis to support the Bank’s Emerging Risk process.
  • Undertaking an annual inter-concentration risk assessment across the Bank’s risk profile.
  • Contribute to the enhancement of the financial risk management process through the development and calibration of Key Risk Indicators.
  • Perform independent review of the Bank’s strategy and strategic risk profile to ensure sufficient second line challenge of the strategic direction.

Experience/Qualifications

  • Significant Financial Risk, Capital Management or Treasury experience.
  • A strong track record of working with senior stakeholders.
  • At a minimum a Bachelor's Degree or equivalent within a technical discipline.
  • A Masters in Risk Management, or a Professional Designation in accounting (ACA, ACCA or CIMA) or risk/finance (FRM, PRM or CFA) would be an advantage.
  • Minimum of five years of banking or payment industry experience.
  • Experience of stress testing, financial modeling or analytical risk reporting.

Skills/Disposition

  • Strong visual, influencing analytical communication skills
  • Strong Analytics skills.
  • Excellent oral and written communication skills.

This role has been identified as a Controlled Function CF2 under the Central Bank of Ireland’s Individual Accountability Framework Act 2023.

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