Director, Interest Rate Risk Management

ING

New York City, US
Base: $216,000-273,000; bonus/equity: not specifie...
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10+ years treasury or alm experience
Deep understanding of irr measurement
Strong regulatory compliance knowledge
** The position of Director, Interest Rate Risk Management at ING involves overseeing the analysis and management of interest rate risks within the Group Treasury. Ideal candidates should have extensive experience in Treasury, ALM, or Market Risk, with a strong background in regulatory compliance and communication skills. **

Job Summary

  • The Director is responsible for analyzing and monitoring the franchise's Interest Rate Risk in the local balance sheet while ensuring alignment with risk appetite.
  • This role requires preparing IRR analysis for ALCO, senior management, and regulators, including tracking limits and escalating breaches promptly.
  • ING offers a comprehensive benefits package including health coverage, a 401k savings plan, adoption services, and student debt assistance.

Matching Summary

Match Score: 75

** The position of Director, Interest Rate Risk Management at ING involves overseeing the analysis and management of interest rate risks within the Group Treasury. Ideal candidates should have extensive experience in Treasury, ALM, or Market Risk, with a strong background in regulatory compliance and communication skills. **

Salary

Base: $216,000-273,000; Bonus/Equity: Not specified; Benefits: Comprehensive health, 401k, PTO, fertility services, student debt assistance

Skills & Requirements

Must-have

  • 10+ years Treasury or ALM experience
  • Deep understanding of IRR measurement
  • Strong regulatory compliance knowledge
  • Expertise in EVE NPV NII analysis
  • Advanced financial modeling skills

Nice-to-have

  • Excellent communication with senior management
  • Ability to translate analytics into strategy
  • Experience with hybrid work models
  • Collaborative team player mindset
  • Forward-looking market insights

Key Requirements

  • Bachelor's degree in Finance or related field
  • 10+ years experience in Treasury or Market Risk
  • Familiarity with regulatory expectations for IRR
  • Advanced degree preferred

Work Rights

Not specified

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