Welcome to State Street! We are a leading financial services company that provides a range of investment management, research, and trading services to institutional clients. We are currently seeking a highly skilled and motivated Treasury Risk Manager to join our team and oversee the management of our organization's treasury risk. As a Treasury Risk Manager, you will play a crucial role in identifying, assessing, and mitigating potential risks to our company's treasury operations. We are looking for a candidate with a strong background in financial risk management and a deep understanding of treasury operations. If you are a strategic thinker with excellent analytical skills and a passion for risk management, we encourage you to apply for this exciting opportunity at State Street.
- Develop and implement a comprehensive risk management framework for the company's treasury operations.
- Identify and assess potential risks to the company's treasury operations, including interest rate, liquidity, and credit risk.
- Monitor and analyze market conditions and regulatory changes that may impact treasury risk.
- Work closely with internal teams, such as finance, investment management, and trading, to ensure alignment with risk management strategies.
- Develop and maintain strong relationships with external stakeholders, including clients, regulators, and auditors.
- Coordinate and conduct regular risk assessments and stress testing to identify potential vulnerabilities in the company's treasury operations.
- Develop and implement risk mitigation strategies, policies, and procedures.
- Provide regular reports and updates to senior management on the status of treasury risk and any changes to risk exposure.
- Conduct training and education sessions for employees on risk management best practices and procedures.
- Stay up-to-date on industry developments and trends in treasury risk management and incorporate best practices into the company's risk management framework.
Minimum Of 5 Years Of Experience In Risk Management, Preferably In The Financial Services Industry.
Bachelor's Degree In Finance, Accounting, Economics, Or A Related Field.
Strong Understanding Of Financial Markets, Including Interest Rate Risk And Foreign Exchange Risk.
Experience With Quantitative Risk Modeling And Analysis.
Knowledge Of Regulatory Requirements And Best Practices For Risk Management, Such As Basel Iii And Dodd-Frank.
Financial Analysis
Market Research
Portfolio Management
Risk assessment
Credit risk analysis
Regulatory compliance
Cash flow forecasting
Asset allocation
Investment Strategies
Liquidity Management
Derivatives Trading
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Time management
creativity
Critical thinking
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Treasury Risk Manager in Boston, MA, USA is $110,000-$150,000 per year. This may vary depending on factors such as the size and type of company, experience level, and specific job responsibilities. Benefits and bonuses may also impact the overall compensation package for this role.
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State Street Corporation is an American financial services and bank holding company headquartered at One Lincoln Street in Boston with operations worldwide. It is the second-oldest continually operating United States bank; its predecessor, Union Bank, was founded in 1792.

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