Senior Vice President - Balance Sheet Management
Current- Manage the interest rate risk/market sensitivity function for a $60+ billion bank holding company (BHC) and 16 wholly owned banking subsidiaries while overseeing a team of industry-expert professionals. Monitor and.
- Responsible for establishing the corporation’s aggregate risk assessment and providing cash flows for liquidity and stress test reporting.
- Develop/recommend alternative on-and-off balance sheet and product pricing strategies and provide timely information and risk profile reporting exposures to the BHC’s Risk Management and Asset-Liability Management.
- Organize and provide training to management teams and bank affiliate officials and act as the regulatory liaison between the senior management teams and Federal Reserve Bank-Chicago, Office of the Comptroller of the.