• Sr. Manager, Interest Rate

    Capital One (Mclean, VA)
    Sr. Manager, Interest Rate Risk Management (Hybrid) Capital One's Balance Sheet Management group is seeking a motivated professional for a Senior ... Manager role on the Interest Rate Risk Management (IRR) Analytics team. The role provides an excellent opportunity to lead the interest rate more
    Capital One (11/04/25)
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  • Treasury/Chief Investment Office - Interest

    JPMorgan Chase (New York, NY)
    …stress-testing frameworks, such as Value at Risk (VaR) + Advanced knowledge of interest rate risk management practices + Experience with regulatory ... Join JPMorgan Chase's Risk Management and Compliance team, where...safeguard the firm's financial strength and resilience. As an Interest Rate Risk Analyst, you'll… more
    JPMorgan Chase (11/01/25)
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  • Senior Manager, Finance Risk

    Charles Schwab (Westlake, TX)
    …Testing, or Recovery and Resolution Planning + Knowledge of leading Asset-Liability Management , Interest Rate Risk Management in the Banking Book, or ... driving innovation and business growth. The mandate encompasses liquidity risk , interest rate risk...interest rate risk , capital risk and regulatory risk management more
    Charles Schwab (12/05/25)
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  • Senior Analyst, Capital Markets & Risk

    Capital One (Mclean, VA)
    Management group is seeking a motivated professional for a Senior Analyst role on the Interest Rate Risk Management (IRR) Analytics team. The role ... assist in developing critical analyses that drive decision-making for balance sheet and interest rate risk management . The role offers the candidate the… more
    Capital One (11/04/25)
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  • Manager, ALM - Market Risk Modeling

    Charles Schwab (Lone Tree, CO)
    …focused on Market Risk Modeling, you will play a key role in the overall interest rate risk management , strategic optimization of the balance sheet ... for deploying vendor models and developing in-house quantitative models to support interest rate risk management within ALM team. This includes… more
    Charles Schwab (11/22/25)
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  • First Line Member Credit Risk Manager

    Federal Home Loan Bank of Boston (Boston, MA)
    …Familiarity with off-balance sheet instruments, asset liability management (ALCO) strategies and interest rate risk management techniques required. + ... members may experience financial weakness due to changes in conditions such as interest rate movements, shifts in balance sheet composition or weakening loan… more
    Federal Home Loan Bank of Boston (10/07/25)
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  • Analyst Sr Int Rate Derivatives

    City National Bank (Los Angeles, CA)
    …WHAT IS THE OPPORTUNITY? Participates in all aspects of the sales and trading on interest rate risk management (IRRM) solutions with Bank clients ... and training prospects, clients, colleagues, and line units with regards to interest rates, foreign exchange, economic and market conditions. * Strictly adhering to… more
    City National Bank (09/19/25)
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  • Asset Liability Management , Treasury…

    Santander US (Boston, MA)
    …**The Difference You Make:** The Sr. Analyst supports the day-to-day management of Interest Rate Risk and across all Santander US entities. The incumbent ... Experience in Asset-Liability Management , Liquidity Risk Management , Interest - Rate Risk Management , Funds Transfer Pricing - Preferred. +… more
    Santander US (11/27/25)
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  • Rates Portfolio Management /Central Funding…

    Citigroup (New Castle, DE)
    …+ Provide SME analytical support for ongoing balance sheet, regulatory and technology projects Interest Rate Risk Management + Model and calculate ... and government-backed mortgage securities portfolios and primary responsibility for interest rate risk positioning. Within...execution to reduce the firm's USD interest rate and basis risks. The Liquidity Management more
    Citigroup (11/08/25)
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  • Asset Liability Management Senior Associate

    Truist (Charlotte, NC)
    …balance and NII forecast that is leveraged for Corporate Planning at the enterprise level, Interest Rate Risk Management scenarios, and regulatory stress ... income and/or monitoring and reporting on the firm's interest rate sensitivity. The person will leverage...to inform key strategic decisions for deposit balance and rate paid management + Partnering with LOBs… more
    Truist (09/12/25)
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  • Sr. Associate, IRR Portfolio Manager (Hybrid)

    Capital One (Mclean, VA)
    Management group is seeking a motivated professional for a Senior Analyst role on the Interest Rate Risk Management (IRR) Analytics team. The role ... assist in developing critical analyses that drive decision-making for balance sheet and interest rate risk management . The role offers the candidate the… more
    Capital One (11/04/25)
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  • Director - Treasury Capital Markets

    Arrow Electronics (Centennial, CO)
    …all third-party and intercompany financing activities while leading Arrow's Foreign Exchange and Interest Rate risk management functions to ensure ... + Leadership for all Foreign Exchange risk management and Interest Rate risk management . + Lead the negotiation, structuring, and placement… more
    Arrow Electronics (11/25/25)
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  • Quantitative Model Audit Lead

    Fannie Mae (Washington, DC)
    …of credit risk modeling of single-family and multi-family mortgages * Knowledge of interest rate risk management practices, including market risk ... finance business. This role focuses on areas such as interest rate modeling, market risk ...modeling, market risk analysis, funding and liquidity risk management , and capital markets activities. Additionally,… more
    Fannie Mae (11/03/25)
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  • Manager, Treasury

    Sallie Mae (Salt Lake City, UT)
    …and experience required. + Bachelor's degree in Accounting or Finance + 5+ years of interest rate risk management and financial analysis experience + ... responsibility for modeling and exploring strategies to manage the interest rate risk of Sallie...a primary role, including assisting in the development of risk management strategies, interfacing with other bank… more
    Sallie Mae (11/14/25)
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  • Senior Auditor, Accounting & Financial

    PenFed Credit Union (Mclean, VA)
    …audits as assigned. Areas of audit responsibility may include capital planning and stress testing, interest rate risk management , liquidity risk ... environment required, including in topics such as capital planning and stress testing, interest rate risk management , liquidity risk management more
    PenFed Credit Union (12/06/25)
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  • Auditor Lead, Accounting & Financial

    PenFed Credit Union (Mclean, VA)
    …audits as assigned. Areas of audit responsibility may include capital planning and stress testing, interest rate risk management , liquidity risk ... and procedures and controls, such as related to capital planning and stress testing, interest rate risk management , liquidity risk management ,… more
    PenFed Credit Union (10/28/25)
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  • Senior Treasury Analyst

    Santander US (Boston, MA)
    …Capital Management , Capital Allocation - Preferred. 3+ Years Recovery & Resolution, Interest - Rate Risk Management , Funds Transfer Pricing - ... + Day-to-day execution of operations in (liquidity risk , market risk , interest - rate risk , Cash Management , Wire Transfer, Capital Management more
    Santander US (10/24/25)
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  • Treasury Chief Investment Office Controls, Vice…

    JPMorgan Chase (Newark, DE)
    …main lines of business. The Corporate Treasury Middle Office team supports liquidity, capital, interest rate risk management , and global funds transfer ... across global operations. You will focus on strategic team management , operating model and controls, stakeholder management ,...Alteryx and Tableau are a plus + Understanding of interest rate risk principals, funds… more
    JPMorgan Chase (11/13/25)
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  • Managing Director, MBS Portfolio Manager, Chief…

    PNC (New York, NY)
    …of ALM practices in a banking environment. *Understanding of regulatory frameworks and interest rate risk management . *Excellent analytical, ... and activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework. PNC also has fundamental expectations of our people managers. As… more
    PNC (10/21/25)
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  • Corporate Treasury Derivatives Trader

    Truist (Charlotte, NC)
    …of fixed income markets and an understanding of global macro drivers that relate to bank interest rate risk management 2. Experience with interest ... strategy with overall treasury goals, with respect to Net Interest Income and risk exposure management...compliance where applicable. 5. Generate pre-trade hedging analysis; net interest income impact, net interest rate more
    Truist (12/07/25)
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