Enterprise Financial Risk Manager
Company: Disability Solutions
Location: Charlotte
Posted on: February 5, 2025
Job Description:
Job Description:At Bank of America, we are guided by a common
purpose to help make financial lives better through the power of
every connection. We do this by driving Responsible Growth and
delivering for our clients, teammates, communities and shareholders
every day.Being a Great Place to Work is core to how we drive
Responsible Growth. This includes our commitment to being a diverse
and inclusive workplace, attracting and developing exceptional
talent, supporting our teammates' physical, emotional, and
financial wellness, recognizing and rewarding performance, and how
we make an impact in the communities we serve.At Bank of America,
you can build a successful career with opportunities to learn,
grow, and make an impact. Join us!Enterprise Financial Risk (EFR)
OverviewEnterprise Financial Risk (EFR) seeks to deliver effective
independent risk management of the activities and processes
associated with managing the Company's capital, liquidity and
interest rate risks, including price risk in the CFO managed
securities portfolio. As the Chief Risk Officer (CRO) function
covering the Chief Financial Officer (CFO) Group, we also bring
together a holistic point of view across all seven risk types for
the Company's CFO.The team helps Bank of America grow responsibly
through developing our teammates, promoting a diverse and inclusive
culture, and approaching our work with intellectual curiosity. EFR
delivers its mission through a steadfast commitment to its values:
cultivating diversity of thought and valuing different perspectives
and experiences; promoting learning, fostering relationships and
creativity; developing talent, advancing careers, and creating
leaders within Global Risk Management and across the company. Our
goal is to ensure that a healthy and sustainable liquidity,
capital, and interest rate risk (IRR) profile is maintained through
baseline economic scenarios, as well as during times of market and
idiosyncratic stress.Job DescriptionThis job is responsible for the
identification, measurement, monitoring, controlling, reporting,
and analysis of applicable financial risks across the company,
including markets risk (interest rate risk and price risk in the
CFO managed ALM portfolio), liquidity risk, and capital risk. Cross
functional risks related to recovery and resolution planning,
climate risks, and end to end risk oversight of the CFO group may
also be in scope for the role.Areas of Focus across the financial
risk disciplines include the following:
- Providing risk oversight and advice and counsel to front line
units
- Ability to recognize all risk categories and bringing
appropriate risk expertise as needed
- Accountable for conducting execution of BAC risk framework
activities commensurate with liquidity risk, interest rate risk and
price risk, capital risk, and responsibilities of a CRO vertical
coverage teamKey responsibilities for the role may include 1 or
more of the following financial risk disciplines:Interest Rate Risk
and Price Risk
- Analysis of model risk, analysis and reporting of market risk,
distributing the market risk reports, and interfacing with the
trading desk and other risk and support groups (i.e., Compliance,
Finance, Operations, etc.)
- Review and Challenge of IRR measurements (Independent analysis
of 1LOD proposal based on structured criteria, e.g., impact to risk
metrics, sensitivity testing, challenger model, regulatory
guidance, supporting analysis and justification)
- Price Risk data validation and controlsCapital Risk Management
- Capital Forecasting/Adequacy - enhance review and challenge of
end-to-end capital forecasting and adequacy process, including Risk
ID and scenario design
- SLR/Numerator/TLAC interpretations, rule compliance and
calculator change control reviews
- Maintain ECRM operating model and prioritization. Review and
challenge of all capital-related Plans, Policies, Governance
documents and Committee materials
- Wholesale/Retail spot RWA and manual adjustment testing,
interpretations, rule compliance and calculator change control
reviews
- Counterparty/securities spot RWA and manual adjustment
testing
- Market risk RWA and manual adjustment testing, as outlined in
E&Y recommendations.
- SLR/Numerator/TLAC calculations and manual adjustment testing,
as outlined.Liquidity Risk Management and/or Recovery and
Resolution Planning (RRP)
- Review and Challenge of internal liquidity stress testing
(ILST) models and related assumptions, FLU new products, Liquidity
Forecasting, Funding Plans, Risk ID Inventory, etc.
- Daily limit monitoring and resolution of issues; Limit
monitoring is a critical function requiring commentary that may go
to regulators or communicated to management stakeholders
- Manage ILST scenario narratives and regularly review the
calibration and completeness of existing ILST narratives
- Create liquidity scenario customizations to support recovery
planning, resolution planning, climate, and other enterprise-wide
scenarios. Design exploratory liquidity scenarios to measure
impacts of risks not captured in the existing ILST scenarios
- Recovery and Resolution Planning - Maintain working knowledge
of related regulations in the U.S., Monitor RRP related triggers
and metrics, Identify, calibrate, monitor, and report early warning
indicators, Lead Risk coverage of GRRP activities in business as
usual, regulatory exam meetings and management forums.
- Collaborate across Risk to drive consistent review of RRP
related activities, appropriate Risk engagement and challenge
documentation
- Assess, measure, monitor the potential liquidity risks driven
by climate change and climate related eventsAnalytics and Reporting
- Works with senior management and other team members to
implement enhancements to reporting and analysis packages for
senior management forums and committees plus the implementation of
improved reporting and data mining tools and metrics
- Ensures that the team produces regulatory and economic risk
capital reports and data inputs respectively
- Produces regularly scheduled reports including stress and back
testing and responds to ad hoc reporting and analysis requests
- May manage a small team of analysts or own key reports and or
processesGovernance and Business Controls
- Establish and oversee the risk management governance
structures
- Establish risk management policies, limits, standards,
controls, metrics, and thresholds within the defined corporate
standards
- Day to Day Operations and Business Controls, including single
process inventory, expense management, etc.Desired Skills
- Strong Excel
- Analytical Thinking
- Critical Thinking
- Portfolio Analysis
- Risk Analytics
- Data & Trend Analysis
- Decision Making
- Oral Communications
- Presentation Skills
- Written Communications
- Active Listening
- Issue Management
- Monitoring, Surveillance & Testing
- Regulatory Compliance
- Technical Documentation
- Quantitative skills with strong Excel
- Attention to Detail
- Data Quality Management
- Data Visualization
- Prioritization
- Reporting
- Controls Management
- Process Design
- Regulatory RelationsShift:1st shift (United States of
America)Hours Per Week: 40Pay Transparency detailsUS - IL - Chicago
- 540 W Madison St - Bank Of America Plaza (IL4540), US - NJ -
Jersey City - 525 Washington Blvd (NJ2525), US - NY - New York -
ONE BRYANT PARK - BANK OF AMERICA TOWER (NY1100)Pay and benefits
informationPay range$110,000.00 - $180,000.00 annualized salary,
offers to be determined based on experience, education and skill
set.Discretionary incentive eligibleThis role is eligible to
participate in the annual discretionary plan. Employees are
eligible for an annual discretionary award based on their overall
individual performance results and behaviors, the performance and
contributions of their line of business and/or group; and the
overall success of the Company.BenefitsThis role is currently
benefits eligible. We provide industry-leading benefits, access to
paid time off, resources and support to our employees so they can
make a genuine impact and contribute to the sustainable growth of
our business and the communities we serve.
Keywords: Disability Solutions, Rock Hill , Enterprise Financial Risk Manager, Executive , Charlotte, South Carolina
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