Senior Market Risk Manager- Fixed Income Trading

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

             
ADD TO JOB CART TO APPLY
Job Title:
SENIOR MARKET RISK MANAGER- FIXED INCOME TRADING
Job Description:
Job ID(17630)
Top Tier Investment Bank is looking for an experienced Fixed Income Risk Manager. Responsibilities will focus on Interest Rate products [Treasuries, Agencies, MBS and F.I. Derivatives] and encompass all aspects of market risk management including monitoring, measurement, limit setting, stress testing, etc. As a hands-on Risk Manager, the Candidate will work closely with Senior Management, Trading Heads, internal control and regulatory contacts on risk mitigation, exceptions, processes and policy issues. Applicant must have: 5+ years experience in portfolio risk measurement techniques including VaR and Stress Testing, an advanced quantitative degree, extensive background with option pricing models (development and validation), and superior communication skills. The company offers a very competitive compensation and benefits package.

Recruiter: Jim Geiger

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