Senior Associate, Capital Markets & Risk

Capital One Financial

Confirmed live 2 days ago High trust

Quick summary

Work type
On-site
Location
McLean, VA
Salary
$111,200–$126,900 / yr
Posted
29 days ago
Freshness
Confirmed live 2 days ago

Market check

Salary context

Below market

How this pay compares to similar roles

Similar $164k
This role $119k
$101k most similar roles pay here $207k

This role pays less than 80% of similar roles. Most pay $130,625–$196,412 — the shaded band above. At the midpoint, this role pays about $119k versus about $164k 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 & Risk

Senior Associate, Capital Markets & Risk serves as a vital bridge between technical subject matter experts in Capital Markets & Analytics and senior leadership on the ALCO Strategy team. This role involves managing committee reporting cycles, creating high-visibility slide presentations and board memos, and navigating complex topics like liquidity, capital strategy, and interest rate risk management. The position requires translating intricate financial concepts into plain language while coordinating with partner teams to ensure alignment. Key technical skills include SQL or Snowflake for data validation and building automated compliance dashboards. Candidates must possess a deep understanding of bank financial statements, balance sheet metrics such as Net Interest Margin, and regulatory deliverables like CCAR and Liquidity Stress Testing. The role addresses critical banking challenges regarding treasury management, resolution planning, and the strategic navigation of market risk within a large financial institution.

What you'll do

  • Draft high-visibility slide presentations and memos for the Board of Directors and senior executives.
  • Translate complex financial topics into plain language for executive audiences.
  • Manage a recurring cadence of committee reporting, including monthly distributions and compliance dashboards.
  • Coordinate with technical subject matter experts to gather information and build alignment across partner teams.
  • Develop narratives for new updates that do not have existing historical templates.
  • Use SQL or Snowflake to validate data sets and build automated compliance dashboards.
  • Manage the governance rhythm, agendas, and reporting requirements for senior management committees like ALCO.

What we're looking for

  • Bachelor's Degree or military experience.
  • At least 2 years of experience working in the financial services industry or consulting.
  • Exceptional written communication skills to translate complex subjects into plain language.
  • Ability to manage multiple high-stakes projects with meticulous attention to detail and technical rigor.
  • 4+ years of experience in the financial services industry (preferred).
  • 2+ years of experience in Bank Treasury, Asset-Liability Management, or Corporate Finance at a large financial institution (preferred).
  • 2+ years of experience with complex banking regulatory deliverables like CCAR, Resolution & Recovery Planning, or Liquidity Stress Testing (preferred).
  • Knowledge of SQL/Snowflake, CFA designation, and experience drafting Board memos or managing committee governance (preferred).

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