Capital Markets Risk - Senior Associate
Fannie Mae(28 days ago)
About this role
A Senior Associate in Capital Markets Risk at Fannie Mae supports enterprise risk monitoring and mitigation within the Market and Liquidity Risk Management division, reporting to the Senior Director of Liquidity Risk. The role contributes to overseeing treasury and capital markets activities and helps ensure the firm’s liquidity and balance-sheet risks are identified and managed to support housing finance stability.
Required Skills
- Liquidity Risk
- Risk Monitoring
- Stress Testing
- Modeling
- Analytics
- Communication
- Quantitative Analysis
- Portfolio Management
- Market Risk
- Balance Sheet
Qualifications
- Bachelor's Degree
- Master's Degree
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