Hiring.Camp

Capital Planning & Stress Testing Program Manager

Flagstar

·

Yesterday

Salary
$108k – $181k
Location
Work From Home United States, United States of America
Workplace
Remote
Type
Full-time
Department
Management
Seniority
Manager
Experience
6+ years
Education
Master
Source
Workday

Description

Position Title

Capital Planning & Stress Testing Program Manager

Location

Nationwide, MI 48098

Job Summary

The Capital Planning & Stress Testing Program Manager leads Flagstar’s stress testing and capital planning processes, reporting to the Director of Capital Planning & Stress Testing. This role coordinates cross-functional teams to execute stress test plans, ensure regulatory compliance, and align with capital management policies. Responsibilities include developing and integrating stress testing processes, overseeing documentation, guiding scenario design, and preparing reports for senior management and regulators. The manager ensures that capital planning is effective, meets governance standards, and supports strategic decisions. This role exists to ensure the bank’s capital planning exercises are executed efficiently, meet regulatory expectations, and support sound strategic decision-making.

Job Responsibilities:

JOB RESPONSIBILITIES

  • Program Leadership & Plan Coordination: Leads the bank’s stress testing program, coordinating input from multiple departments to collect and integrate all necessary data and materials. Maintains and updates key capital planning documents (e.g., capital plan narrative, policies, contingency plans) to ensure the stress testing process is cohesive and aligned with business objectives.
  • Scenario Design & Challenge Oversight: Leads internal stress test scenarios informed by the bank’s idiosyncratic risks (Risk ID inventory) and evaluates capital adequacy under adverse conditions. Manages review/challenge sessions on forecasted results (e.g., PPNR, credit losses), addressing key assumptions and limitations through sensitivity analysis and appropriate overlays.
  • Reporting & Regulatory Submission: Prepares and submits regulatory stress testing reports and the final capital plan document, ensuring accuracy and timeliness. Produces clear summaries of stress test results and recommended capital actions for senior management and Board review and performs ad-hoc capital analyses (such as peer comparisons) to support decision-making.
  • Quality Assurance & Compliance: Ensures the consistency and reliability of stress test results through strong quality controls and data governance. Maintains an inventory of critical capital planning data elements, working with Data Governance to resolve data issues, and verifies adherence to internal risk management standards. Supports and addresses any findings from regulatory, risk, or internal audits and ensures continuous compliance with all relevant policies and regulatory requirements throughout the stress testing cycle.
  • Proactively manage examination requests, company resources, program risks, and required deliverables, as well as the day-to-day planning and resource allocation. 
  • Responsible for talent management functions including: employment, performance evaluations, staff development/training, disciplinary actions, succession planning and ensuring all staff comply with compliance requirements.

ADDITIONAL ACCOUNTABILITIES

  • Strategic Alignment: Works under the direction of the CPST Director to ensure that stress testing activities support the bank’s strategic goals for capital adequacy and risk management. Provides input to senior leadership on opportunities to improve capital efficiency or risk mitigation based on stress test insights.
  • Governance and Policy Adherence: Upholds the governance framework for capital planning. Ensures that all activities follow the approved Capital Planning & Stress Testing policies and the governance standards set by management committees (CMC, ERMC) and the Board. All documentation and processes should withstand regulatory scrutiny and internal audit standards.
  • Continuous Improvement: Stays current on evolving regulatory expectations (e.g., Federal Reserve guidance for Category IV banks, Basel capital standards) and industry best practices in stress testing. Recommends and implements enhancements to the stress testing program, such as process improvements, model updates (in partnership with model development teams), and improved coordination mechanisms, to continually strengthen Flagstar’s capital planning capabilities.
  • Performs special projects, and additional duties and responsibilities as required.
  • Consistently adheres to regulatory and compliance policies and standards linked to the job as listed and complete required compliance trainings.  Accountable to maintain compliance with applicable federal, state and local laws and regulations.

JOB REQUIREMENTS

Required Qualifications:

  • Education level required: Undergraduate Degree (4 years or equivalent) in Finance, Economics, Business, Mathematics or a related field (or equivalent work experience in a related discipline).
  • Minimum experience required: 6+ Years experience in financial risk management, capital planning, or stress testing. Involvement in enterprise stress testing processes or regulatory capital plan preparation.
  • Technical Skills: Knowledge of regulatory capital requirements and stress testing frameworks (e.g., DFAST/CCAR, Basel III). Proficiency in financial modeling and scenario analysis; advanced Excel skills.
  • Leadership & Communication: Proven ability to lead cross-functional projects or teams. Excellent written and verbal communication skills, with the ability to present complex financial analyses to senior executives. Collaborative team player who can influence and coordinate stakeholders across departments.
  • Analytical & Detail-Oriented: High attention to detail and accuracy. Strong analytical problem-solving skills to interpret model results and identify trends or issues. Effective at managing multiple priorities and deadlines, especially during peak stress testing cycles.

Preferred Qualifications:

  • Education level preferred: Master's Degree (or Postgraduate equivalent) in Finance, Business Administration (MBA), Economics, or a related field or professional certification (CFA, FRM).
  • Experience working at a bank subject to regulatory stress testing (e.g., DFAST/CCAR submissions) and dealing with regulatory examinations.
  • Familiarity with data governance and model risk management practices related to capital planning. Exposure to liquidity risk or resolution planning.
  • Familiarity with data analysis tools or statistical modeling.

Job Competencies:

  • Regulatory Acumen: Understanding of capital planning regulations and expectations. Able to ensure the stress testing program meets regulatory standards.
  • Project Management: Organized and able to develop timelines, delegate tasks, and drive projects to completion on schedule.
  • Collaboration: Effective at building relationships and coordinating with various teams to gather information and achieve consensus.
  • Adaptability: Comfortable working under tight deadlines and changing requirements; remains calm and flexible during high-pressure periods.
  • Integrity: Maintains confidentiality of sensitive information and upholds high ethical standards. Ensures all activities comply with company policies and regulatory guidelines.
  • Demonstrates a strong ability to build and maintain effective relationships with stakeholders by communicating clearly, engaging in proactive collaboration, and leveraging cross functional insights. Aligns relationship building efforts with enterprise goals to accelerate performance and drive strategic results.
  • Builds trusted client relationships, whether internal or external, by identifying needs and delivering tailored solutions to enhance the overall client experience.
  • Fosters a positive work culture and productive work environment, driving strategy and displaying importance of effective relationships with customers and stakeholders to influence and coach.
  • Travel requirements: 10% or less
  • Physical demands (ADA): No unusual physical exertion is involved.

Flagstar is an Equal Opportunity Employer - Vets/Disabled


We are committed to providing clear and accurate compensation information in accordance with applicable laws. Actual starting base pay will be determined based on location, experience, and other non-discriminatory factors permitted by law. Total compensation may also include variable incentives, bonuses, commissions, or other awards as outlined in the offer of employment. Flagstar provides teammates access to a variety of benefits including medical, dental, vision, life, and disability insurance, as well as a comprehensive leave program. Please click the following link for detailed information: Benefits | Flagstar Bank

Pay Range

$108,095.25 - $181,144.00

Qualified applicants with arrest or conviction records will be considered for employment in accordance with the California Fair Chance Act, the Los Angeles County Fair Chance Ordinance, the City of Los Angeles Fair Chance Initiative for Hiring Ordinance, and the San Francisco Fair Chance Ordinance, as appliable.

Skills

ExcelFinancial ModelingRisk ManagementComplianceProject ManagementCFA

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