The first line Finance Risk Management (FRM) function serves as an in-business strategic risk partner within Finance. The team designs and implements a cohesive risk management strategy and framework to identify, measure, monitor, and manage financial risks while enabling business growth, innovation, and strategic decision-making. Our mandate encompasses liquidity, capital, market, counterparty credit, and regulatory risk management across the Finance organization. We work closely with Treasury, Corporate Risk Management, Product, FP&A, and executive leadership to strengthen risk frameworks, evaluate strategic initiatives, assess emerging risks, and safeguard the firm’s financial flexibility. We are seeking a Senior Manager – Finance Risk Strategy & Analytics to join Finance Risk Management, reporting to the Head of Strategy & Analytics. This role combines financial risk management, strategic advisory, quantitative analytics, and executive communication. The successful candidate will help shape the firm's risk strategy while delivering actionable insights on liquidity, capital, market, and balance sheet risks. This is an individual contributor position.
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Job Type
Full-time
Career Level
Senior