Fannie Mae · 19 hours ago
Capital Markets Risk - Senior Associate
Fannie Mae is foundational to housing finance and seeks a Capital Markets Risk - Senior Associate to contribute to risk monitoring and reviews. This role involves coordinating risk mitigation activities and providing assistance to other groups within the Market and Liquidity Risk Management division.
Financial Services
Responsibilities
Supporting the oversight of Treasury Capital Markets including trading activity, risk management, liquidity stress testing, and funds transfer pricing
Implementing oversight activities to identify, assess, mitigate and monitor risk exposures, including daily and intraday liquidity risk
Partner with the company's modeling and analytics resources to develop and monitor methodologies, models, and risk metrics to measure liquidity risk exposures
Qualification
Required
2 or more years' experience
Bachelor's degree required
Strong verbal and written communication skills
Ability to communicate complex topics across different levels of the organization
Preferred
Master's degree, or higher in STEM program or a related field
Experience in financial markets, portfolio management, market risk analytics, and/or advanced education demonstrating quantitative, analytical and technical skills (financial engineering, modeling, risk measurement)
Familiarity with mortgage industry and risk analytics
Demonstrate strong quantitative, analytical and technical skills and familiarity with financial institution balance sheet risk management
Benefits
Health
Life
Voluntary Lifestyle
Other benefits and perks that enhance an employee's physical, mental, emotional, and financial well-being
Company
Fannie Mae
Fannie Mae creates opportunities for people to buy, refinance, or rent a home.
Funding
Current Stage
Late StageRecent News
2025-10-07
2025-10-07
WSJ.com: Markets
2025-10-07
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