Capital One
Sr. Manager, Interest Rate Risk Management (Hybrid)
Capital One, Mc Lean, Virginia, us, 22107
****Location:**** Center 2 (McLean, VA) - this role is Hybrid, where you will be expected to spend 3 days per week working in office and the remainder of the week working virtually.* Bachelor's Degree or military experience* At least 7 years of experience in financial modeling and financial analysis* At least 5 years of experience in securitization, OR finance, OR capital markets OR a combination* At least 2 years of people management experience* Master’s Degree in Business Administration (MBA), or Master’s Degree in Finance, Accounting, Financial Engineering, Economics, or other quantitative field of study* Chartered Financial Analyst (CFA) license, or Certified Treasury Professional (CTP) license, or Financial Risk Manager (FRM) license, or Certified Public Accountant (CPA) license* 6+ years of experience in securitization, or in finance, or in capital markets or a combination* 5+ years of experience in Asset Liability Management or Interest Rate Risk* 5+ years of experience in Options and Derivatives Analysis* 5+ years of experience in Fixed Income Modeling and Econometric Modeling* 2+ years of experience in Fixed Income Analysis* 3+ years of people management experience* 1+ year of people management experience managing both direct and indirect reports* Previous experience explaining technical subject matter to non-technical audiences, and leading discussions across functions to ensure clarity around business direction and strategy* Experience influencing senior level management, and developing strong relationships with both internal and external partnersCapital One offers a comprehensive, competitive, and inclusive set of health, financial and other benefits that support your total well-being. Learn more at the . Eligibility varies based on full or part-time status, exempt or non-exempt status, and management level.
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