Sr Director, Financial Risk Management

Remote Full-time
About the position Responsibilities • Overall accountability for PayPal's second line of defense financial risk management. • Serve as a subject matter expert in credit, liquidity, market risk, capital and other financial risk disciplines. • Expert on capital stress testing and international regulatory requirements including ICAAP, CCAR and other similar prudential requirements for advanced financial institutions. • Responsible for the quality, timely and accurate reporting of Prudential risk reporting across the franchise.• Establish the financial risk function and support the firms enhanced risk appetite framework globally. • Support development of a series of key risk indicators and other reporting that will be leveraged for senior management, management and committees, and boards. • Help monitor multiple data sources, including but not limited to, testing results, issues, and risk assessments, to identify and escalate trends and patterns. • Proactively identify key risks to capital and liquidity, monitoring global regulatory requirements and minimums.• Analyze, monitor, inform and escalate on contingency liability matters with key third parties and critical entities supporting any PayPal holdings business. • Serve as the Chief of Staff for Enterprise Risk Management including overall budget and expense management, efficiency programs and people programs in conjunction with HR People leaders. • Build strong relationships with PayPal business partners and within the ERCS organization to effectively understand, communicate and influence plans, results, issues, and outcomes.• Member of the Enterprise Risk Management Committee and will present to various management committees and boards. • Work effectively in a complex, fast-paced matrixed environment, replete with tight deliverable timeframes and multiple stakeholders, both internal and external. • Act independently and demonstrate strong initiative. • Influence outcomes, minimize and address conflict and demonstrate in-depth understanding of compliance and operational risks. • Demonstrate effective performance management/development practices to keep team current with emerging technology advancements/trends.Requirements • A Bachelor's degree or equivalent, and 12+ years of experience (6+ years management experience), a Master's degree preferred. • Extensive leadership experience in high transaction, large/complex/matrixed business environment within Financial Services. • Managed a multi-site team of at least 25 FTEs. • Significant experience in Credit, Market, Liquidity and Capital risk management including stress testing frameworks, e.g. CCAR, ICAAP, etc. • Experience with off Balance Sheet transactions, Debt Sales and structuring, Capital Markets hedging strategies, FEX hedging, Risk Modeling.• Demonstrated experience in budgeting, financial planning, expense savings programs, and efficiency programs. • Proven ability to work with third party regulators. • Strong communicator who can articulate vision across team and businesses. • Advanced written and presentation skills. • Excellent leadership, teamwork, and client service skills. • Strong analytical skills and ability to interpret complex data to inform decision-making. • Deep understanding of operational processes across technology functions.• Expertise in project management and process improvement methodologies. • Familiarity with relevant regulatory compliance requirements. • Strong financial acumen and ability to manage budgets effectively. Benefits • Flexible work environment • Employee shares options • Health and life insurance Apply tot his job
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