Equity Derivatives Settlement Risk Analyst- Investment Bank

Return to: Market Risk Management Specialty
Return to: Risk Management Category
Return to: Major Job Categories

             
ADD TO JOB CART TO APPLY
Job Title:
EQUITY DERIVATIVES SETTLEMENT RISK ANALYST- INVESTMENT BANK
Job Description:
Job ID(17222)
A NY Based Securities Firm is looking for an Equity Derivatives Market Risk Analyst to join the Risk Management team. Risk Management is responsible for producing and reporting daily VaR, Greeks, and P & L for all Global Equity counterparty and proprietary exposures. Candidates must have 5+ yrs working in a front, middle and back office risk management position with a major sell side financial firm and have product knowledge across these financial instruments: Equities DVP, CFD'::s, Custodial, Cash, Swaps, Futures, Options (American, European, Binary, Barriers). Candidates must have a Quantitative degree and knowledge of Equity Derivatives Settlement Risk

Recruiter: Jim Geiger

Salary: Competitive Compensation Location: New York
ADD TO JOB CART TO APPLY
Job Categories: Risk Management
EXIT BACK TO MAIN CATEGORIES PREVIOUS YOU HAVE NO JOBS IN CART.
***