#2025-116803
nance organization.
Additionally, the FRM function collaborates with the second line Corporate Risk Management and Model Risk Oversight functions in the development and enhancement of risk management policies, procedures, and limits across the Finance risk disciplines. We partner across the firm to improve efficiency, effectiveness, and productivity by safeguarding financial flexibility to enable the company strategy.
We are seeking a Senior Manager - Models & Methodology to join the group reporting to the Head of Models & Methodology.
What you have
Required Qualifications:
Bachelor's degree
10+ years of related work experience.
Knowledge of leading Liquidity Risk Management standards and modelling practices, including the FR2052a/LCR/NSFR, Liquidity Stress Testing, or Recovery and Resolution Planning
Knowledge of leading Asset-Liability Management, Interest Rate Risk Management in the Banking Book, or Funds Transfer Pricing standards and modelling practices
Knowledge of CCAR/DFAST or other Capital Stress Testing or Planning
Experience with financial systems and bank data management
Experience with Model Risk Management standards and practices
Excellent analytical, strategic planning, and problem-solving skills
Excellent oral and written communication skills and ability to engage senior stakeholders
Self-directed, able to multi-task, and perform under strict deadlines
Ability to create presentations for executive audiences
Preferred Qualifications:
MBA or Master's Degree in a quantitative dicipline
Experience with SQL, Python, R, or similar languages and applications
What You'll do:
Work with Finance partners and the Transformation teams to adopt an integrated and robust modelling infrastructure across Finance by assessing, testing, and documenting evolving models and methodologies.
Assess and advise on evolving interpretations of financial risk regulatory standards
Work with Finance partners to review data controls that support liquidity risk, market risk, and capital stress testing models and reports
Aid in balance sheet strategy by implementing appropriate client segmentation to optimize client growth, net interest margin, and funding resilience.
In addition to the salary range, this position is also eligible for bonus or incentive opportunities.
What's in it for you
At Schwab, you're empowered to shape your future. We champion your growth through meaningful work, continuous learning, and a culture of trust and collaboration-so you can build the skills to make a lasting impact. Our Hybrid Work and Flexibility approach balances our ongoing commitment to workplace flexibility, serving our clients, and our strong belief in the value of being together in person on a regular basis.
We offer a competitive benefits package that takes care of the whole you - both today and in the future: