Capital Planning Risk Manager

October 2

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Logo of Flagstar Bank

Flagstar Bank

Mortgage • Commercial Banking • Personal Financial Services • Government Banking • Small Business Banking

5001 - 10000

Description

• The Capital Planning Risk Manager is responsible for evaluating all material risks as noted within the Capital Plan for the Bank and measuring how those risks affect the Bank’s overall capital adequacy. • In addition, responsible for producing management reports that are forward-looking in identifying the Bank’s projected risk levels. • Assist and support the Director of CPST in developing, implementing and coordinating the risk management functions of the Capital Adequacy Process. • Ensure policy alignment within the Capital Plan, Capital Policy, RAS, Strategic Plan, and Stress Test Policy. • Coordinates, tracks and reports from a risk perspective the regulatory findings and other efforts relating to Capital Planning & Adequacy.

Requirements

• Undergraduate Degree (4 years or equivalent) in Business Administration, Accounting, Finance or related field or equivalent relevant experience in risk analysis. • Minimum experience required: 7+ Years of professional experience in financial institution capital planning and stress testing. • Extensive knowledge of capital, stress testing-assumptions-methodologies, dynamic forecasting, predictive risk measurement-monitoring-and-reporting, deposit stability assessment, contingency, funding plans, early warning indicators, peer trend analysis and multiple entity reporting. • Minimum of five (5) years of analytical experience. • Minimum of two (2) years of experience in economic capital analytics and reporting. • Hands-on experience with SAS, SQL, and Excel programming.

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