Senior Associate, Capital Markets and Risk

Capital One Financial

Confirmed live yesterday High trust

Quick summary

Work type
On-site
Location
McLean, VA
Salary
$111,200–$126,900 / yr
Posted
14 days ago
Freshness
Confirmed live yesterday

Market check

Salary context

Below market

How this pay compares to similar roles

Similar $163k
This role $119k
$101k most similar roles pay here $207k

This role pays less than 80% of similar roles. Most pay $130,312–$196,562 — the shaded band above. At the midpoint, this role pays about $119k versus about $163k for comparable roles.

Based on 238 similar postings.

Employer

About Capital One Financial

Capital One Financial is a bank holding company specializing in credit cards, auto loans, banking, and savings products, known for its data-driven approach to consumer and commercial finance. Industry: Financial Services & Banking

Capital One Financial currently has 998 open roles on FindRole.

Listed pay typically runs $197,300–$225,100 across 992 roles with salary data.

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View all roles at Capital One Financial

At a glance

TL;DR · Senior Associate, Capital Markets and Risk

Senior Associate, Capital Markets and Risk joins the Liquidity, Market, and Capital Risk Oversight team as a second line of defense Independent Risk Management function. This role focuses on the oversight of measurement and management of risks across the crisis continuum, including liquidity risk, market risk-taking, capital measurement, stress testing, and recovery and resolution planning. The individual will perform quantitative and qualitative analysis, conduct review of divestiture options valuation frameworks, and develop executive communications through dashboards and reporting tools. Key responsibilities include evaluating control effectiveness and analyzing financial market developments against regulatory guidance. Required skills include proficiency in SQL, Python, Snowflake, Excel, Tableau, and Quicksites. The role also requires experience with AI tools like Gemini and Claude to automate processes while addressing complex challenges involving capital adequacy, liquidity management, and regulatory compliance within the banking system.

What you'll do

  • Provide analytical support for risk management in areas including Resolution and Recovery Planning, Regulatory Capital, Liquidity, and Market Risk.
  • Use technology and AI tools to perform data analysis and automate processes as a source of independent risk assessment.
  • Analyze financial market developments and regulatory guidance changes to conduct impact analyses.
  • Review and challenge divestiture options valuation frameworks, projections, assumptions, and rationales.
  • Develop executive communications, reporting capabilities, and monitoring routines through dashboards and automated tools.
  • Create presentation materials for diverse stakeholders and governance committees.
  • Ensure risk governance frameworks are implemented correctly by influencing various stakeholder groups.
  • Evaluate the design and operating effectiveness of controls and develop recommendations to improve internal controls.

What we're looking for

  • Bachelor’s degree or military experience.
  • At least 2 years of experience in quantitative and qualitative analysis.
  • Master’s degree in a business or quantitative field such as Finance, Economics, or Engineering.
  • 2+ years of experience in risk management or capital markets.
  • 2+ years of experience in the banking industry or equivalent financial services firm.
  • 1+ year of experience in SQL, Python, Snowflake, and Excel.
  • 1+ year of experience in data analytic tools including Tableau and Quicksites.
  • Will not sponsor a new applicant for employment authorization for this position.

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