Location
Responsibilities
Our client, a major international bank
located in New York City, is seeking a
Market Risk Officer / AVP to join their
Market Risk Management Group.
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The ideal
candidate will be responsible
for analyzing the risk and P&L
reporting for the bank’s various
business lines.
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This
individual will have exposure to
products including Interest Rate
and Credit Derivatives, Fixed
Income and FX.
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Major
responsibilities will include
identifying major risks to each
portfolio, keeping abreast of
market data movements and
assisting with the analysis of
new products.
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Qualifications
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3+ years of
market risk management or
trading experience
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Strong
analytical skills – technically
savvy
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Strong product knowledge:
interest rate and credit
derivatives, fixed income, and
FX positions
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Previous
experience in market risk.
Familiarity with VaR, risk
sensitivities, stress testing,
etc
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Superior MS
Office skills – especially MS
Excel
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Bachelor’s
degree in Economics, Finance,
Mathematics or related required
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Master’s
degree preferred
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