Senior Policy Manager-FX Settlement Risk – NY recruitment
The candidate must have 10-15 years of risk management experience with a major commercial bank's treasury operations. This role requires deep knowledge of the technical aspects of FX payments and settlements and the understanding of the systematic and operational risks related to payments, settlements and clearing activities in the financial markets. The role will be setting the firms policy related to the market and operational risk of FX operations. The requires experience with payment systems like Fedwire, NSS, CLS, DTCC, CHIPS and ACH and superior communication skills (writing and presentation).
FX payments, settlements, SWIFT, Fedwire, operational risk, risk policy, bank examiner, systematic risk
Please send resumes to Jim Geiger at jeg@analyticrecruiting.com.