Jobs
Benefits & Perks
•Flexible Hours
•Learning Budget
•Paid Volunteer Days
•Flexible Hours
•Learning
Required Skills
Interest Rate Risk Management
Asset-Liability Management
Financial Analysis
Risk Assessment
Regulatory Compliance
Communication
Critical Thinking
Treasury Risk Manager
State Street Global Treasury Risk Management (GTRM) provides second line oversight of trading market risk across Markets and Treasury divisions as well as liquidity risk, interest rate risk (IRR), investment portfolio mark-to-market risk, and capital risk oversight of the firm’s banking book.
GTRM is a unit within the Financial Risk group of Enterprise Risk Management (ERM). We seek to hire an experienced Treasury Risk Manager to provide second line oversight of the interest rate risk management of the firm’s balance sheet.
Position and Primary Duties and Responsibilities The Treasury Risk Manager will:
-
Support independent oversight of balance sheet interest rate risk (IRR), including identification of risks and drivers, establishment and maintenance of risk limits and other risk controls, measurement and analysis of risks, and monitoring and reporting of risks, including validation of data and risk calculations.
-
Support independent assessments of the overall accuracy, effectiveness, and reliability of the balance sheet interest rate risk management framework.
-
Participate in special projects and review business strategies and new business initiatives to ensure business objectives are met within the firm’s overall risk appetite.
-
Review, challenge and report the firm's balance sheet interest rate risk profile and changes timely and accurately.
-
Support development of interest rate risk limits, policy, guidelines and operating procedures, according to regulatory requirements and industry best practices.
-
Support development and/or improve interest rate risk measurements and methodologies to capture all key risk factors as market condition changes and for new business initiatives.
-
Oversight of risk capturing of client's deposit behaviors and impacts to NII and EVE.
-
Review and challenge of CCAR and quarterly stress testing results and perform risk attribution analyses.
-
Oversight of underlying assumptions of QRM system implementation (e.g., interest rate term structure models, volatility models) and their impacts to risk metrics results.
-
Prepare analyses, reports and data for senior management, audit, regulatory communication and exams, and rating agency requests.
-
Collaborate with the Modelling and Analytics team in implementation of risk metrics and models
-
Support risk and/or regulatory projects and remediation as required; independently driving forward assigned tasks
-
Qualifications, Skills and Experience• 3+ years of experience in roles related to asset-liability management with a focus on balance sheet interest rate risk; exposure to regulatory interactions is a plus.
-
At least undergraduate degree in Finance, Economics, Business or quantitative field (such as mathematics, statistics, computer science, etc.) with a proven affinity to financial services; graduate degree or professional designations such as CFA or FRM are a plus.
-
Experience with US and EU banking book interest rate risk regulatory requirements.
-
Deep knowledge of financial instruments, balance sheet structure and hedging, behavioral modeling of assets and liabilities, fund transfer pricing, and applicable risk measures like NII and EVE sensitivities.
-
In-depth understanding of financial statements of financial institutions and impacts from central bank policy changes to financial institutions.
-
Good working knowledge of financial products, such as fixed income securities, foreign exchange products, and interest rate derivatives.
-
Good understanding of hedging strategies against interest rate risk and FX exchange risk.
-
Strong verbal and written communication skills, with ability to articulate effectively ideas and analysis to senior management.
-
Strong analytical skill on working with large balance sheet data. Proficiency with asset liability management systems, such as QRM, is a plus.
-
Self-starter with critical thinking skills and strong financial acumen, willingness to work in a fast-paced and high-energy level environment, and highly organized to manage competing deadlines.
-
Team player with unquestionable integrity and ethical standards. Ability to gain trust and respect of business partners.
About State Street
Across the globe, institutional investors rely on us to help them manage risk, respond to challenges, and drive performance and profitability. We keep our clients at the heart of everything we do, and smart, engaged employees are essential to our continued success.
We are committed to fostering an environment where every employee feels valued and empowered to reach their full potential. As an essential partner in our shared success, you’ll benefit from inclusive development opportunities, flexible work-life support, paid volunteer days, and vibrant employee networks that keep you connected to what matters most. Join us in shaping the future.
As an Equal Opportunity Employer, we consider all qualified applicants for all positions without regard to race, creed, color, religion, national origin, ancestry, ethnicity, age, disability, genetic information, sex, sexual orientation, gender identity or expression, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status, and other characteristics protected by applicable law.
Discover more information on jobs at State Street.com/careers
Read our CEO Statement:
Total Views
0
Apply Clicks
0
Mock Applicants
0
Scraps
0
Similar Jobs

Strategic Partner Manager - GSI
Armis · London, England, United Kingdom

Sales Manager
Dailymotion · London

Fixed Term Account Manager - Harrods Knightsbridge
Chanel · London

Senior Manager, Enterprise Sales – Media (EMEA)
Shutterstock · London

Strategic Finance Manager, International Public Sector
Scale AI · London, UK
About State Street

State Street
PublicState Street Investment Management — formerly State Street Global Advisors (SSGA) — is an American investment management division of State Street Corporation founded in 1978 and the world's fourth largest asset manager, with nearly US$4.1 trillion in assets under management as of December 31, 2023.
10,001+
Employees
Boston
Headquarters
Reviews
3.5
6 reviews
Work Life Balance
2.5
Compensation
3.0
Culture
2.5
Career
3.2
Management
2.8
35%
Recommend to a Friend
Pros
More opportunity than other banks
Career advancement potential
Financial services experience
Cons
Slow hiring process
Poor Glassdoor reviews
Variance in firm quality opinions
Salary Ranges
76 data points
Junior/L3
Junior/L3 · Business Analyst
2 reports
$134,560
total / year
Base
$117,009
Stock
-
Bonus
-
$127,061
$142,060
Interview Experience
5 interviews
Difficulty
2.6
/ 5
Duration
21-35 weeks
Offer Rate
20%
Experience
Positive 20%
Neutral 60%
Negative 20%
Interview Process
1
Application Review
2
Recruiter Screen
3
Phone Interview
4
Technical/Hiring Manager Interview
5
Final Interview/Offer Stage
Common Questions
Technical Knowledge
Behavioral/STAR
Past Experience
Culture Fit
News & Buzz
Bank of New York Mellon Corp Sells 27,136 Shares of State Street Corporation $STT - MarketBeat
Source: MarketBeat
News
·
5w ago
State Street names new head of markets UK - The TRADE
Source: The TRADE
News
·
5w ago
State Street to Speak at the BofA Securities Financial Services Conference - Yahoo Finance
Source: Yahoo Finance
News
·
5w ago
State Street to Speak at the BofA Securities Financial Services Conference - Business Wire
Source: Business Wire
News
·
5w ago