Head of Market & Liquidity Risk
$252k - $315.6kMercury
We’re hiring a Head of Market & Liquidity Risk to lead independent second-line oversight of Mercury’s liquidity, interest-rate, funding, investment, and related balance-sheet risks. Reporting to the Chief Risk Officer, this individual will be a close oversight partner to Finance and Treasury functions - providing rigorous, constructive challenge of its strategies, assumptions, models, risk exposures, and contingency plans while maintaining the independence required of an effective risk function.This role is well-suited for someone who can move fluidly between quantitative analysis, strategic judgment, and executive communication. The individual will be a key leader within Mercury’s Enterprise Risk team and part of a highly collaborative environment. The role involves especially close coordination with Treasury, Finance, Data, Product, Legal, Compliance, executive leadership, and our banking* partners.*Mercury is a fintech company, not an FDIC-insured bank. Banking services provided through Choice Financial Group and Column N.A., Members FDIC.Key Responsibilities:Lead Mercury’s second-line framework for identifying, measuring, monitoring, and reporting liquidity, interest-rate, funding, investment, and related market risksServe as the primary independent Risk partner to Treasury and Finance, providing constructive challenge of balance-sheet strategy, liquidity management, funding plans, investment activity, and hedging decisionsHelp develop and maintain financial-risk policies, risk-appetite measures, limits, key risk indicators, management triggers, and escalation standardsHelp oversee liquidity-risk monitoring, stress testing, and contingency funding, including independent assessment of deposit behavior, funding concentrations, liquidity buffers, collateral, and contingent funding capacityEvaluate interest-rate risk and challenge key modeling assumptions, including net interest income and economic value sensitivity, deposit betas, decay rates, repricing behavior, duration, and basis riskHelp assess the financial-risk implications of new products, rapid growth, market disruption, changes in customer behavior, and developments involving financial partnersPartner with Model Risk Management, Enterprise Risk, Credit Risk, and Data teams to oversee models, data quality, risk assessments, issue management, and reporting infrastructureSupport bank-partner oversight, audits, independent reviews, and regulatory examinations while monitoring relevant market and regulatory developmentsBuild scalable financial-risk capabilities by improving automation, scenario analysis, early-warning indicators, governance, and executive risk visibilityQualifications:Have 12+ years of experience in liquidity risk, interest-rate risk, treasury risk, market risk, asset-liability management, or broader financial-risk managementBring meaningful experience in an independent second-line role at a regulated bank, financial institution, fintech, or similarly complex financial-services companyHave deep knowledge of liquidity, funding, stress testing, contingency funding, and interest-rate risk measurement, including net interest income and economic value sensitivityHave experience challenging Treasury strategies, models, and assumptions while building a trusted and productive working relationshipUnderstand risk appetite, limits, escalation processes, and executive- and Board-level risk reportingTranslate quantitative analysis into clear risk judgments and practical recommendations for technical and nontechnical audiencesExercise strong independent judgment while navigating ambiguity, collaborating across functions, and building frameworks that can scaleMercury values diversity & belonging and is proud to be an Equal Employment Opportunity employer. All individuals seeking employment at Mercury are considered without regard to race, color, religion, national origin, age, sex, marital status, ancestry, physical or mental disability, veteran status, gender identity, sexual orientation, or any other legally protected characteristic. We are committed to providing reasonable accommodations throughout the recruitment process for applicants with disabilities or special needs. If you need assistance, or an accommodation, please let your recruiter know once you are contacted about a role.#LI-SN1Total RewardsThe total rewards package at Mercury includes base salary, equity (stock options/RSUs), and benefits.Our salary and equity ranges are highly competitive within the SaaS and fintech industry and are updated regularly using the most reliable compensation survey data for our industry. New hire offers are made based on a candidate’s experience, expertise, geographic location, and internal pay equity relative to peers.Our target new hire base salary ranges for this role are the following:US employees in New York City, Los Angeles, Seattle, or the San Francisco Bay Area:$252,000—$315,600 USDUS employees outside of New York City, Los Angeles, Seattle, or the San Francisco Bay Area:$227,300—$284,000 USD
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