Director, Interest Rate Risk Management

224

New York City, NY, US
Base: $216,000-273,000; bonus/equity: not specifie...
Hybrid
10+ years treasury or market risk experience
Deep understanding of irr measurement and modeling
Expertise in eve, npv, nii sensitivity metrics
ING is seeking a Director of Interest Rate Risk Management for their Group Treasury team in New York City. The role focuses on analyzing and managing interest rate risk exposures, ensuring compliance with regulatory requirements, and collaborating with various stakeholders

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 hybrid work model, comprehensive health benefits, a generous 401k plan, and unique perks like student debt assistance and fertility services.

Matching Summary

Match Score: 85

ING is seeking a Director of Interest Rate Risk Management for their Group Treasury team in New York City. The role focuses on analyzing and managing interest rate risk exposures, ensuring compliance with regulatory requirements, and collaborating with various stakeholders.

Salary

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

Skills & Requirements

Must-have

  • 10+ years Treasury or Market Risk experience
  • Deep understanding of IRR measurement and modeling
  • Expertise in EVE, NPV, NII sensitivity metrics
  • Strong knowledge of regulatory expectations for IRR
  • Experience with ALCO reporting and governance

Nice-to-have

  • Advanced degree in Finance or Economics
  • Ability to translate analytics into strategic insights
  • Excellent communication skills for senior management
  • Collaborative approach with Second Line Risk teams

Key Requirements

  • Bachelor's degree required; advanced degree preferred
  • 10+ years of experience in Treasury, ALM, or Market Risk
  • Deep understanding of interest rate products and embedded optionality

Work Rights

Not specified

Tailored Resume

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