Risk Manager (Equity / Fixed Income) recruitment

This person will be part of a team that analyzes risk of equity and fixed income markets, with an emphasis on eligible securities such as equities, municipal bonds, high yield corporate bonds, collateralized mortgage obligations, asset-backed securities, governments and agencies. 

Responsibilities of the role include identifying and mitigating risk (including credit, market, liquidity, operational, legal and compliance); Develop and analyze an active research opinion on sectors consistent with the research process.  Monitor industry trends and contribute to team strategy discussions.  Participate on client calls discussing credit trends and specific recruiting attributes.  Produce written research and verbally articulate credit strengths and risks to risk analyst sand executive management.   

The ideal candidate will have an advanced degree or equivalent with knowledge of fixed income or equity markets at the marco-economic level.  Qualifications for this role include 2-5 years of financial experience with experience writing or contributing to industry research reports; exposure to various traded products including equity or fixed income.  Strong analytical, problem solving an decision making skills.  Strong  written and oral communication skills. 

For more information or immediate consideration, please refer to Job#TR1087 and submit resume in Word format to:  ian@comprehensiverecruiting.com