Market Risk Analyst, Corporate Bonds

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Job Title:
MARKET RISK ANALYST, CORPORATE BONDS
Job Description:
Job ID(17153)
A premier Investment Bank in Manhattan is looking for a Market Risk Analyst to cover their High Grade Corporates, Municipals, and Prop Trading desks. This position will be responsible for assisting the traders to understand and quantify their [market and counterparty risk] and communicate those risks to senior management. Additionally, this position will assist Front Office business heads and traders understand and better utilize risk capacity. Candidates must have knowledge of credit derivatives and flow credit products, market risk methodologies, the limitations of models and their output, and the ability to communicate with many different levels of co-workers and management. 3 years of experience.

Recruiter: Jim Geiger

Salary: Compensation Competitive Location: New York City
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Job Categories: Derivatives/Futures/FX & Structured Transactions, Quantitative Finance/Financial Engineering, Risk Management
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