Balance Sheet Management Manager (Market & Solvency Risk)

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Mexico City Until 8/22/2026 5+ years exp First posted March 18, 2026 Last posted March 18, 2026
Job description

ALM & Treasury team:

 

Challenges that await you:

  • Design, enhance, and optimize ALM (Asset-Liability Management) models for FX risk, IRRBB, ensuring alignment with evolving regulatory and market standards. 
  • Play pivotal role in regulatory capital adequacy planning process (ICAP), counterparty large exposures management, as well as in quantifying and hedging FX & interest rate risks
  • Lead the implementation and automation of regulatory reporting (ACLME), ensuring compliance with Mexican financial regulations and Basel III/IV frameworks. 
  • Enhance internal ALM processes by identifying gaps, proposing automation solutions, and integrating cutting-edge financial technologies
  • Act as a subject matter expert (SME) by communicating ALM agenda to cross-functional stakeholders and methodological guidance to junior team members
  • Collaborate with Treasury Front and Back offices, Capital markets, FP&A, Accounting, Risk management, product teams and IT tribes to ensure data integrity, model accuracy, and regulatory adherence

What makes you a great fit:

  •  Fluent in English with strong communication skills for technical reporting and stakeholder engagement
  •  5+ years of experience in bank Treasury, ALM, risk management, or financial modeling
  • Degree in STEM, Economics, or Finance, or recognized certifications such as CFA, FRM, AMIB Figura 3, 4, 5.
  •  Deep knowledge of financial instruments (structure, profitability, valuation)
  • Strong quantitative and programming skills, including advanced proficiency in Excel (macros, VBA), SQL, and Python for data analysis and model development is a plus
  •  Proven ability to take ownership of tasks, ready to roll up your sleeves, act independently and work collaboratively in a high-paced, analytical environment

Our ways of working:

  • Innovative Spirit: A commitment to creativity and groundbreaking solutions
  • Honest Feedback: valuing open, transparent communication
  • Supportive Team: a strong, collaborative community
  • Celebrating Achievements: recognizing our wins together
  • High-Tech Environment: a team full of smart and revolutionary people who date to challenge the status quo of incumbent finances
About this role

Summary

Manage ALM models, regulatory compliance, risk quantification, and automation in financial environment.

Job title

Balance Sheet Management Manager (Market & Solvency Risk)

Experience level

5+ years

Minimum experience

5+ years exp

Industry

finance

Location requirements

Mexico City, remote not specified

Salary

Not specified

Management role

No

Skills & keywords

Required skills

ExcelVBASQLPythonfinancial instruments

Preferred skills

CFAFRMquantitative skills

Specializations

ALMFX riskinterest rate riskregulatory reportingfinancial modeling
Locations

Structured locations inferred from the posting.

Mexico City, CDMX, Mexico

Work arrangement unknown City