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Treasury Risks Oversight Manager

Оценка ИИ

SoFi — престижный работодатель в сфере финтеха с сильной корпоративной культурой. Позиция предлагает высокий уровень влияния на стратегические решения и отличные возможности для профессионального роста в современной банковской среде.


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Сложность вакансии

ЛегкоСложно
Оценка ИИ

Роль требует глубоких знаний в области банковских рисков (ILST, CCAR) и продвинутых технических навыков (Python, SQL). Высокий уровень ответственности за ликвидность и капитал банка в условиях быстрорастущего финтеха делает позицию сложной.

Анализ зарплаты

Медиана165 000 $
Рынок140 000 $ – 200 000 $
Оценка ИИ

Зарплата для данной роли в Нью-Йорке обычно выше среднего по рынку США из-за высокой стоимости жизни и концентрации финансовых талантов. Указанный диапазон соответствует уровню Manager/Senior Manager в крупных финтех-компаниях и банках.

Сопроводительное письмо

I am writing to express my strong interest in the Treasury Risks Oversight Manager position at SoFi. With over 7 years of experience in banking and risk management, I have developed a deep expertise in liquidity risk analytics, ILST, and CCAR methodologies. My background in designing data-driven risk dashboards using SQL and Python aligns perfectly with SoFi’s innovative, mobile-first approach to financial services.

In my previous roles, I have successfully led independent assessments of liquidity stress testing and collaborated with cross-functional teams to embed risk analytics into product design. I am particularly drawn to SoFi’s mission of changing how people interact with personal finance and am eager to apply my quantitative skills to support the firm’s continued growth and resilience. I am confident that my technical proficiency and strategic mindset will make me a valuable asset to your Treasury Risk Oversight team.

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Откликнитесь в sofi уже сейчас

Присоединяйтесь к лидеру финтех-индустрии и помогите сформировать будущее управления банковскими рисками в SoFi!

Описание вакансии

Employee Applicant Privacy Notice

Who we are:

Shape a brighter financial future with us.

Together with our members, we’re changing the way people think about and interact with personal finance.

We’re a next-generation financial services company and national bank using innovative, mobile-first technology to help our millions of members reach their goals. The industry is going through an unprecedented transformation, and we’re at the forefront. We’re proud to come to work every day knowing that what we do has a direct impact on people’s lives, with our core values guiding us every step of the way. Join us to invest in yourself, your career, and the financial world.

The role:

SoFi’s Treasury Risk Oversight team focuses on strengthening the firm’s Liquidity, Capital, and Market risk management, in a fast-growing, technology-driven environment.

The Manager, Treasury Risks Oversight is a leadership role responsible for advancing liquidity risk management capabilities and supporting funding and capital review and assessments. Reporting to senior risk leadership, this role drives the design, enhancement, and continuous evolution of liquidity risk monitoring frameworks, analytical tools, and stress methodologies. The position works closely with Treasury, Finance, Business, and Product teams to promote disciplined financial risk management as the firm scales in size and complexity.

What you’ll do:

  • Lead the ongoing development and enhancement of liquidity risk management frameworks, including the review and monitoring of liquidity positions, funding plans, cash flow projections, and intraday liquidity.
  • Review and provide independent assessment of liquidity stress testing methodologies, scenario designs, and product level stress assumptions, metrics, and early warning indicators to support resilience across varying market environments.
  • Lead periodic targeted reviews of treasury management frameworks, including Internal Liquidity Stress Testing (ILST) methodologies, Contingency Funding Plan (CFP) assumptions, funding strategies, deposit behavior trends, and product-driven liquidity dynamics, translation analytical findings into actionable management insights
  • Support capital planning analysis through review of capital stress tests (CCAR), stress scenarios, product level stress assumptions, sensitivity analysis, and projected capital ratios. Assess the interaction between liquidity, capital, and market risk drivers to provide integrated financial risk perspective.
  • Evaluate liquidity and other financial implications of new products, funding initiatives, and business expansion strategies. Analyze projected funding needs, stress performance, and financial sensitivities associated with new launches.
  • Collaborate with Treasury, Finance, Business, and Product teams to embed risk analytics early in initiative design and scaling decisions.
  • Architect and maintain data-driven liquidity risk dashboards, analytical models, and monitoring tools using SQL, Python, and quantitative techniques.
  • Develop internal challenger models and validation frameworks to assess liquidity and funding projections, stress assumptions, and risk sensitivities.
  • Lead risk management activities, including risk identification, risk appetite calibration, and preparation of materials for management forums, governance committees, and regulatory interactions.

What you’ll need:

  • 6–9 years of experience in banking and/or consulting, with exposure to treasury, liquidity risk, capital management, and market risk.
  • Strong experience in liquidity risk analytics, funding and capital analysis, and stress testing methodologies, including ILST and CCAR.
  • Proven ability to assess liquidity and related financial risks, with working knowledge of accounting and finance principles and the risk exposures inherent in funding plans, capital plans, deposits, lending portfolios, derivatives, and off-balance sheet products.
  • Hands-on technical capability in SQL, Python, and advanced data analysis.
  • Demonstrated ability to design analytical frameworks from concept through implementation.
  • Excellent written and verbal communication skills, including experience preparing materials for senior management and governance forums.
  • Advanced degree in a quantitative or economic discipline (e.g., Finance, Economics, Statistics, Data Science, or related field), with demonstrated application of quantitative methods to complex financial problems.

Nice to have:

  • Working knowledge of Liquidity and Capital stress test tool, framework and related analytical tools.
  • Professional certifications such as CFA or FRM.

Compensation and Benefits

The base pay range for this role is listed below. Final base pay offer will be determined based on individual factors such as the candidate’s experience, skills, and location.

To view all of our comprehensive and competitive benefits, visit our Benefits at SoFi page!

SoFi provides equal employment opportunities (EEO) to all employees and applicants for employment without regard to race, color, religion (including religious dress and grooming practices), sex (including pregnancy, childbirth and related medical conditions, breastfeeding, and conditions related to breastfeeding), gender, gender identity, gender expression, national origin, ancestry, age (40 or over), physical or medical disability, medical condition, marital status, registered domestic partner status, sexual orientation, genetic information, military and/or veteran status, or any other basis prohibited by applicable state or federal law.
The Company hires the best qualified candidate for the job, without regard to protected characteristics.
Pursuant to the San Francisco Fair Chance Ordinance, we will consider for employment qualified applicants with arrest and conviction records.
New York applicants: Notice of Employee Rights
SoFi is committed to an inclusive culture. As part of this commitment, SoFi offers reasonable accommodations to candidates with physical or mental disabilities. If you need accommodations to participate in the job application or interview process, please let your recruiter know or email accommodations@sofi.com.
Due to insurance coverage issues, we are unable to accommodate remote work from Hawaii or Alaska at this time.

Internal Employees

If you are a current employee, do not apply here - please navigate to our Internal Job Board in Greenhouse to apply to our open roles.

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Навыки

  • SQL
  • Python
  • Liquidity Risk Management
  • Capital Management
  • Market Risk
  • Stress Testing
  • CCAR
  • ILST
  • Financial Analysis
  • CFA
  • FRM

Возможные вопросы на собеседовании

Проверка практического опыта работы с ключевыми регуляторными фреймворками.

Опишите ваш опыт проведения внутреннего стресс-тестирования ликвидности (ILST) и как вы интерпретировали результаты для руководства?

Оценка технических навыков кандидата в области анализа данных.

Как вы использовали Python или SQL для автоматизации мониторинга рисков или создания challenger-моделей?

Проверка способности оценивать риски новых продуктов.

Как бы вы подошли к оценке рисков ликвидности при запуске нового депозитного продукта с высокой волатильностью?

Оценка понимания взаимосвязи различных типов финансовых рисков.

Как, по вашему мнению, изменение процентных ставок влияет на взаимосвязь между риском ликвидности и рыночным риском в текущих условиях?

Проверка навыков взаимодействия с заинтересованными сторонами.

Расскажите о случае, когда вам пришлось отстаивать свою позицию по уровню риска перед бизнес-подразделением или казначейством.

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