Senior Manager - ALM Analytics

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Lone Tree, CO
5-7 Years Experience
Fintech
The Role

At Schwab, you're empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together.

The Asset Liability Management (ALM) team is a team within our Corporate Treasury department. We are responsible for balance sheet management strategy, portfolio and brokered deposit notional investment allocation decisions, balance sheet modeling and analytics, market risk management, ALM derivatives, and net interest income forecasting. The overall team manages fixed-income investments in several portfolios totaling over $300 billion, with approximately $500 billion in total balance sheet assets and $100 billion in off-balance-sheet brokered deposit agreement notional investments.

In this role you will be an individual contributor within the ALM team focused on Interest Rate Risk (IRR) measurement & monitoring, through Net Interest Income (NII) and Economic Value of Equity (EVE) sensitivity analyses.

You will have ownership for analytics, attribution, and automation for all IRR measurement & monitoring related to on-balance-sheet and off-balance-sheet exposures, including fixed-income investment portfolios, off-balance sheet brokered deposit notional investments, interest rate derivatives, and income modeling associated with all remaining components of the balance sheet.

You'll collaborate with risk partners, product leaders and others across the firm while playing a key role in managing risk across the Schwab and the specific legal entities.

This is a role where you will be able to grow your expertise through consistent challenges with the backing of passionate leaders who will value your contributions and prioritize your development.

  • Seven+ years of career experience in treasury, finance and/or ALM roles of progressive level of responsibility and a minimum of five years of experience at an institution with similar size and complexity as Charles Schwab.
  • An undergraduate degree
  • Strong knowledge of Net Interest Income forecasting, NII and EVE sensitivity analyses at a large financial services institution.
  • Proficiency with ALM software, such as: PolyPaths, QRM, or other NIR forecasting software required.
  • Experience running a production IRR program, inclusive of: modeling the balance sheet, sensitivity and attribution analyses, reporting, and presentation.
  • Enthusiasm to work in white space and the ability to create innovative analyses to help drive the strategy for the company.
  • Strong fixed-income investment modeling and analytics knowledge.

  • Strong preference for an advanced degree.
  • Professional certification, such as CFA, FRM or PRM, preferred.

In addition to the salary range, this position is also eligible for bonus or incentive opportunities

The Company
HQ: San Francisco, CA
22,335 Employees
On-site Workplace
Year Founded: 1973

What We Do

Charles Schwab is a different kind of investment services firm – one that strives to disrupt the status quo of the traditional Wall Street approach on behalf of our clients. We believe today, as we did on Day 1, that when you find ways to improve the investing experience for your clients, then business results will follow.

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