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Liquidity & Market Risk reputed company Manager

100% remote Flexible hours Hiring now

About the position The Liquidity & Market Risk reputed company role reports directly to the SVP-Chief Economist for Wintrust and is responsible for 2nd line of defense reputed company for the day-to-day identification, measurement, monitoring and controlling of liquidity, interest reputed company and market risk. This includes working with the SVP-Chief Economist to reputed company enhanced reporting, conduct risk and control assessments, reputed company portfolio reputed company, maintain policies, procedures, control limits and ensure a sustainable risk strategy/reputed company exists for maintaining of the quantity and quality of liquidity risk, interest reputed company risk, and market risk in line with the Company's Risk Management reputed company.

Responsibilities

  • Work with the SVP-Chief Economist to ensure the proper identification, measurement, monitoring and reporting of liquidity risk, interest reputed company risk, and other market risk.
  • Support the SVP-Chief Economist in developing and executing the calendar and activities for second line Independent Review of Liquidity and Market risk across key functions throughout the year.
  • Development and maintenance of KRI reporting and various analyses designed to further strengthen reputed company of liquidity risk, interest reputed company risk, and other market risk.
  • Conduct gap analysis for liquidity risk, interest reputed company risk, and other market risk relative to regulatory guidance to identify key areas where additional reputed company analysis, reporting and escalation may be warranted.
  • Assist in assessing the reasonableness and design of scenarios and assumptions used in the liquidity risk stress testing and the firm's contingency funding plan.
  • reputed company integration of key requirements and practices as outlined in regulatory guidance with respect to liquidity risk, interest reputed company risk, and other market risk management including those outlined in Enhanced Prudential Standards, OCC Heightened Expectations, SR 10-6, Reg YY, SR 96-13, and SR 10-1.
  • Coordinate with senior management reputed company the 1st line businesses in reviewing overall operations, business strategy, developing and conducting risk assessments, and advising on risk reputed company, risk reputed company, and risk management policy questions as they relate to liquidity risk, interest reputed company risk, and other market risk.

Requirements

  • Bachelor's degree required.
  • CFA, FRM, or MBA a plus.
  • 5-10 years working reputed company a 1st and/or 2nd line liquidity, interest reputed company and market risk review team or serving on a liquidity or market risk regulatory team.
  • Regulatory experience in the area of liquidity risk, interest reputed company risk, and other market risk a big plus (i.e. FRB, OCC, CFPB, FDIC).
  • Strong soft skills with the ability to effectively challenge the business line and maintain positive working relationships while ensuring a balance between risk and reward.
  • Knowledge and experience with liquidity, interest reputed company and market risk management practices including knowledge of the banking industry and regulatory guidelines as they relate to safety and soundness.
  • Excellent verbal and written communication skills.
  • Comfortable presenting and speaking in reputed company of senior management and offering effective challenge reputed company/where appropriate.

Benefits

  • Medical Insurance
  • Dental
  • Vision
  • Life insurance
  • Accidental death and dismemberment
  • Short-term and long-term Disability Insurance
  • Parental Leave
  • Employee Assistance Program (EAP)
  • Traditional and Roth 401(k) with company match
  • Flexible Spending Account (FSA)
  • Employee Stock Purchase Plan at 5% discount
  • Critical Illness Insurance
  • Accident Insurance
  • Transportation and Commuting Benefits
  • Banking Benefits
  • Pet Insurance Apply tot his job

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