Sr Market Risk Manager-Credit Derivatives

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Job Title:
SR MARKET RISK MANAGER-CREDIT DERIVATIVES
Job Description:
Job ID(ap222 )
Growing Multi-National Investment Bank located in Midtown is looking for a Market Risk Manager to cover their Credit Derivatives trading desk. This position is responsible for analyzing and approving trades, hedges, new products, models and limits for credit derivatives trading. Additionally, this person will be responsible for tracking and limiting risk exposures, and negotiating with traders over capital allocation. Candidates should have at least 5 years experience in market risk management, with recent experience in credit derivatives. Strong quantitative ability is required (PHD preferred). Position will be very competitively compensated.

Recruiter: Peter Arian

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