The SVP of Capital Markets is responsible for developing and executing strategic asset liability management strategies that mitigate interest rate, liquidity, credit and capital risk, while maximizing return on capital. This role will also be responsible for modeling the subservicing portfolio, assets, and liabilities including volumes and associated revenues for EVE and NOI analysis as well as for financial planning and forecasting. The role will encompass all aspects of bank products including pricing and margin management, whole loan trading, secondary marketing, hedging, and securitization.
Responsibilities:
Treasury
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