Financial Risk Management Specialist
1 week ago
Societe Generale offers a dynamic and challenging role for a Financial Risk Management Specialist to join our team. The successful candidate will be responsible for delivering sound financial reports, supporting Business Units, Service Units and General Management with financial and strategic steering.
The Finance Department of Global Banking and Investor Solutions (GBIS) is a global organization with a local presence. Our core mission involves delivering effective financial management, scrutinizing business plans, and offering advice on the efficient use of capital, liquidity, and funding resources.
As a Financial Risk Management Specialist, you will play a key role in maintaining and providing Liquidity Expertise for the Americas Region. This includes model design and calibration, 2nd level review and explanation of Liquidity Dashboard and Reporting exposures, and adherence to Liquidity Regulatory Requirements.
In this role, you will also conduct balance sheet monitoring, associated limit framework monitoring and structural risk monitoring. You will review major strategic initiatives that would have significant impact on balance sheet structure and risk.
Responsibilities:
- Ad hoc portfolio and balance sheet analysis. Stress test by business line analysis.
- Weekly review of LST results, including all drivers of stressed balance sheet, and commentary for presentations of the LST.
- Driving liquidity modeling projects, including the following efforts:
- Participate in the design and implementation of models and data set analytics, usually Excel-based.
- Describe modeling and liquidity risk in documentation (Power Point, Word formats).
- Test and validate the models implemented including unit tests and non-regressions tests.
- Enhance business line analysis of stress testing.
- Collaborating with Treasury, Second Line of Defense (2LOD) / Risk department, various business lines, Operations to ensure completeness and accuracy of the business being modeled.
- Collaborating with Liquidity Reporting, IT, Data Quality and other functions supporting the implementation of the models.
Requirements:
- Undergraduate or Master's Degree in Accounting, Business, Finance, Mathematics, Engineering, or Computer Science.
- Established knowledge in one or more types of funding or asset product lines (Deposits, Loans, Secured Funding, FCM, Prime Brokerage), or extensive Accounting / Balance Sheet knowledge.
- 1-3 years of industry experience.
- Financial Balance Sheet knowledge.
- Excel Skills: Data management, Pivot Tables.
- Ability to translate technical modeling and business line analysis into written formats, succinctly and clearly.
- Strong written and verbal communication skills with ability to interface with key partners.
- Leadership, project management, and effective liaison between business, quantitative research and technology teams.
Bonus:
- Prior experience in ALM / Treasury / Business line departments.
- Prior liquidity / capital stress testing, or IRRBB modeling.
- Knowledge of IT modeling tool (In-house: FARMS; External: QRM).
Benefits:
Competitive compensation & benefits offering, including but not limited to:
- Minimum of 20 Vacation days + 4 personal days
- Supportive Maternity, paternity, parental and adoption leave policy
- Health spending ($2,000/year) and personal spending ($1,000/year) accounts with 75+ eligible reimbursement categories (health, training, electronics etc.)
Fully sponsored virtual healthcare assistance and Employee Assistance Program to you and your immediate family.
Various Employee Resource Groups (ERG) to engage with such as Pride and Allies, American Women Network, Black Leadership Network, One planet, etc.
- A culture of continuous development by encouraging employees various training programs (online training and coaching platform such as Coursera, GoFluent, Pluralsight, First Finance, and others)
Estimated salary range for this position is $80,000 - $110,000 per annum based on qualifications and location. We offer a hybrid work environment that promotes interaction and collaboration with colleagues while adhering to SG standard protocols.
We are committed to strengthening bonds with colleagues, communities, and the world in which we live, because relationships are at the heart of how we operate.
We value diversity, equity and inclusion and are committed to fostering an inclusive recruitment experience to all candidates. In this effort, Societe Generale considers the needs and abilities of individuals without discrimination on the basis of race, color, religion, sex, sexual orientation, gender identity, age, national origin, disability status or any other protected characteristic under federal law.
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