Credit Derivatives/CDS-Market Risk Manager- Investment Bank

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Job Title:
CREDIT DERIVATIVES/CDS-MARKET RISK MANAGER- INVESTMENT BANK
Job Description:
Job ID(17621)
A NY Based Securities Firm is looking for a Senior Credit Derivatives market risk manager to join the Risk Management team. Risk Management is responsible for producing and reporting daily VaR, Greeks, and P & L for single name CDS, credit derivative indices and other synthetic credit products. Candidates must have 5+ yrs working with credit derivative products in a front or middle office risk management position with a major sell side financial firm and have knowledge of CDS settlement mechanics and counterparty margining. Experience with risk modeling, product control, and data and risk system vendors are preferred.

Recruiter: Jim Geiger

Salary: Competitive Compensation Location: New York
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Job Categories: Derivatives/Futures/FX & Structured Transactions, Risk Management
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