AVP – Interest Rate Risk
Job Description
Join a dynamic and forward-thinking financial services organization where risk management plays a central role in driving stability and performance. This firm is recognized for its strong governance framework, data-driven decision-making, and commitment to maintaining the highest regulatory standards. As part of a collaborative and professional environment, you will gain exposure to complex financial instruments and contribute to critical risk oversight functions.
This role offers an excellent opportunity for an analytical professional to deepen their expertise in interest rate risk within the banking book. You will work closely with experienced teams, supporting strategic risk initiatives and ensuring compliance with evolving regulatory expectations. If you are passionate about financial risk management and want to make a meaningful impact within a reputable organization, this position provides the ideal platform for career growth.
Key Responsibilities
Support the monitoring and oversight of interest rate risk in the banking book
Ensure compliance with internal policies and regulatory requirements
Analyze risk metrics to identify trends, exposures, and potential vulnerabilities
Collaborate with cross-functional teams to strengthen risk management strategies
Assist in developing and enhancing risk frameworks, models, and guidelines
Provide actionable insights to mitigate financial risks and improve performance
Track market developments and assess their impact on interest rate exposure
Prepare detailed reports and presentations for senior leadership and regulators
Participate in internal audits and reviews to uphold risk management standards
Requirements
Bachelor’s degree in Finance, Economics, or a related field
Solid understanding of interest rate risk and banking book concepts
Knowledge of financial risk management practices and regulatory frameworks
Strong analytical and quantitative skills with high attention to detail
Proficiency in data analysis tools and Microsoft Excel
Excellent communication skills with the ability to present complex insights clearly
Team-oriented mindset with the ability to collaborate across departments
Ability to manage multiple priorities in a fast-paced environment
Benefits
Competitive monthly salary: $10,000 – $11,250 USD (base salary)
Comprehensive health and wellness benefits
Strong career progression and internal growth opportunities
Exposure to global financial markets and advanced risk practices
Supportive and collaborative work culture
Ongoing training and professional development programs
