Job Opening for Sr. Investment Risk Manager in Silicon Valley Bank (3003 Tasman Drive, Santa Clara, CA 95054)

Hello,

 

If you are looking for a Business related Job ? Then, This is the place where you can find All sources of Job opportunities with detailed information.

Job Category : Business
Company Name: Silicon Valley Bank
Position Name: Sr. Investment Risk Manager
Location : 3003 Tasman Drive, Santa Clara, CA 95054
Job Description : BE PART OF A BANK LIKE NO OTHER.
When you work with the world’s most innovative companies, you know you’re making a difference.
Our clients are the game changers, leaders and investors who fuel the global innovation economy. They’re the businesses behind the next medical breakthroughs. And the visionaries whose new technologies could transform the way people live and work.
They come to SVB for our expertise, deep network and nearly forty years of experience in the industries we serve, and to partner with diverse teams of passionate, enterprising SVBers, dedicated to an inclusive approach to helping them grow and succeed at every stage of their business.
Join us at SVB and be part of bringing our clients’ world-changing ideas to life. At SVB, we have the opportunity to grow and collectively make an impact by supporting the innovative clients and communities SVB serves. We pride ourselves in having both a diverse client roster and an equally diverse and inclusive organization. And we work diligently to encourage all with different ways of thinking, different ways of working, and especially those traditionally underrepresented in technology and financial services, to apply.
Job Description
As a part of the Company’s Second Line of Defense function, Financial Risk Management (FRM) performs independent risk oversight activities to ensure that business units’ financial risk undertakings are within the stated risk appetite and commensurate with defined strategies. The Senior Manager of Financial Risk Management is a key role within the Financial Risk Management (FRM) of Silicon Valley Bank’s Risk organization, reporting directly to the Director of Financial Risk Management and leading efforts to provide independent oversight of market risk taking activities of the Company. The incumbent should have hands-on experiences in several of the following risk management areas including Investment Portfolio management, risk management using derivatives, banking book, trading book, counterparty credit risk, liquidity risk and relevant understanding of ALM strategies to partner with Treasury, Investment Portfolio, and Foreign Exchange. As a trusted advisor to business units and a seasoned market risk management professional, he/she is to ensure market risk is deliberately considered in all of the Company’s on- and off-balance sheet positions. The Senior Manager of Financial Risk Management plays a critical role in development and implementation of market risk management frameworks, as well as in establishing policies, procedures and processes, and controls to appropriately measure, monitor, and manage the Company’s financial risk-taking activities.
Primary Responsibilities
Working with the Head of FRM and senior management team, will provide leadership, innovation, governance, and management necessary to identify, evaluate, mitigate, and monitor the company’s financial risks.
Leads the development of an oversight framework (partnering with the business lines) capable of providing a comprehensive view which complies with policies and procedures and regulations
Leads the design of market risk strategies, analytics, and metrics to provide robust reporting of market risk exposures to senior, executive management and risk governing committees
Leads independent oversight of market risk activities across the Company and assure senior management and executive leadership that market risks are being accurately measured, appropriately controlled/mitigated, and in line with stated risk appetite
Maybe responsible for managing individuals, talent development and performance adjustments
Business Experience
7+ years working in banking, preferably commercial banking, with hands-on experiences in Investment Portfolio management, risk analytics, financial modeling and forecasting
Experience in at least three areas of fixed-income securities (Agency MBS, CMO, ABS, CLO, Muni, Corporate), interest rate risk, foreign exchange trading, investment portfolio management, interest rate derivatives
Excellent project management skills with the ability to operate effectively in a matrix environment
High energy and proven track record of accomplishments and results
Adaptable with the ability to work in a rapidly growing organization
Strong attention to detail with the ability to simplify complex issues
Comfortable challenging the status quo
Technical Skills
Excellent analytic skills with a BA or BS degree in business, finance, statistics or economics. An MBA, CFA or FRM is a plus
Excellent data wrangling skills in SQL and ability to automate routine tasks in Python, Excel/VBA, etc.
Experience using data visualization tools with a preference for skills in Tableau
Experience with Bloomberg and other financial risk reporting systems
Experience developing and delivering committee and board-level presentation material
Excellent oral and written communication skills with the ability to write policy documents
© 2021 SVB Financial Group. All rights reserved. SVB, SVB FINANCIAL GROUP, SILICON VALLEY BANK, MAKE NEXT HAPPEN NOW and the chevron device are trademarks of SVB Financial Group, used under license. Silicon Valley Bank is a member of the FDIC and the Federal Reserve System. Silicon Valley Bank is the California bank subsidiary of SVB Financial Group (Nasdaq: SIVB).
Equal Employment Opportunity
Silicon Valley Bank is an equal opportunity employer and is dedicated to expanding its commitments and investments to create a more diverse, equitable and inclusive company culture and innovation ecosystem. We are strongly committed to the values and policy of equal employment opportunity across our employment practices.
Silicon Valley Bank is registered in England and Wales at Alphabeta, 14-18 Finsbury Square, London EC2A 1BR, UK under No. FC029579. Silicon Valley Bank is authorised and regulated by the California Department of Business Oversight and the United States Federal Reserve Bank; authorised by the Prudential Regulation Authority with number 577295; and subject to regulation by the Financial Conduct Authority and limited regulation by the Prudential Regulation Authority. Details about the extent of our regulation by the Prudential Regulation Authority are available from us on request.


Hope, the above sources help you with the information related to Business Job. If not, reach through the comment section.