Treasury Financial Risk Management Manager - Stripe
Who we are
About Stripe
Stripe is a financial infrastructure platform for businesses. Millions of companies - from the world’s largest enterprises to the most ambitious startups - use Stripe to accept payments, grow their revenue, and accelerate new business opportunities. Our mission is to increase the GDP of the internet, and we have a staggering amount of work ahead. That means you have an unprecedented opportunity to put the global economy within everyone's reach while doing the most important work of your career.
About the team
About Stripe and Stripe Treasury
At its core, Stripe is a treasury company. We fulfill our mission of growing the online economy by empowering our users to move money to and from their own user constituents, and to understand and optimize these flows. In this way, treasury and financial risk (market and counterparty,as well as risk mitigants such as insurance) is inextricably intertwined with our products. In order to continue to build novel and powerful products for our users, our own treasury capabilities, including financial risk management capabilities, must be excellent.
The Capital & Financial Risk Management team
To that end, Stripe’s Treasury-Finance team is building a world class Capital & Financial Risk Management pillar with a goal of being fully automated and supremely lean. CFRM comprises a capital & liquidity risk management team and financial risk management team. We work closely with other Treasury-Finance teams (Liquidity Management and Capital Markets), Stripe’s Information team (Data Science and Data Engineering), Stripe’s Money Movement & Storage (MMS) product and engineering teams to build great capital and financial risk infrastructure.
What you’ll do
To support Stripe’s growth, we're looking for a stellar candidate to lead the Financial Risk Management team within the CFRM pillar. The Financial Risk Management lead will continue building Stripe’s financial risk management governance, systems and processes, working alongside our Data Science partners, business partners and world-class engineers. The ideal candidate will have strong technical and interpersonal skills combined with the desire to work closely with Data Science, product and engineering leads.
If you are passionate about financial risk management and how it can drive business insights that will steer company decision making, we want to hear from you!
Responsibilities
- Advise management on an optimal financial risk management framework for the identification, measuring, monitoring and control of financial risks, including counterparty and market risk, as well as stress testing to size risk capital for Stripe’s capital planning
- Continue to build and develop the financial risk management team and key financial risk management systems, data and processes to provide accurate and timely information on financial risk exposures
- Work with our Data Science and engineering teams to maintain financial risk models for sizing exposure for day-to-day risk management and for capital planning needs
- Continue to build out our financial risk governance framework, including board, management and team level key risk indicators (KRIs) and early warning indicators (EWIs)
- Own Stripe’s Insurance portfolio, including Cyber/E&O, Director and Officers (D&O) and other insurance policies and programs
- Be a culture carrier and possess an entrepreneurial mindset to successfully drive best in class financial risk management initiatives across Stripe
- Provide analytical rigor, work with Data Science to develop financial risk models to identify, measure, monitor and control financial risks across Stripe’s business units, geographies, and users
- Nurture deep, trusted partnerships with growth and product teams across Stripe to shape financial risk aware decision-making
Who you are
We're looking for someone who meets the minimum requirements to be considered for the role. If you meet these requirements, you are encouraged to apply. The preferred qualifications are a bonus, not a requirement.
Minimum requirements
- 12+ years of experience in one or more of: Treasury, financial risk management, particularly counterparty and market risk (FX and interest rate risk)
- A proven ability to build strong collaborative working relationships with business partners, Data Science, product managers and engineers and executives to implement and maintain financial risk appetite, financial risk data and infrastructure, financial risk KRIs to guide business strategy
- An ability to mentor and manage a team to support overall business objectives and development of the skills and careers of team members
- Excellent verbal and written communication skills
- The ability to work with and synthesize extremely large data sets
Preferred qualifications
- An enthusiastic “roll up your sleeves” mentality
- The ability to deal effectively with ambiguity and thrive in an unstructured, fast-moving environment
- An inclination to solve problems systematically via infrastructure and automation
- A builder's mindset with a willingness to question assumptions and conventional wisdom
- Experience with SQL or a willingness to learn is a strong plus
Last updated: 2 hours ago
© 2021 - 2022