Risk Manager – VaR Risk recruitment

The Bachrach Group is your source for leading edge Executive Recruiting and Consulting Services. Our reputation is built on over 30 years of success providing a broad range of services and solutions.

Since 1974, The Bachrach Group's philosophy has ensured excellence in providing services to our corporate clients and to our candidates. When first formed, The Bachrach Group specialized in the accounting and financial fields. Over the years we have successfully diversified and today we specialize in staffing solutions in the following areas: Accounting Finance, Technology, Administration Office Support, and Real Estate Construction

Job Description:

The candidate must be able to think strategically, provide insight into valuation of complex securities, and lead the implementation of cutting edge systems to meet the firm’s analytical and reporting needs. The ability to communicate with confidence and professionalism is essential as the candidate will also be required to provide presentations in connection due diligence requests from firm's investors, prospects and counterparties. The candidate must have at least 8+ years of practical market risk experience either in a trading role or in risk management for a successful hedge fund or broker dealer.

Adjusts credit limits and other types of levels as appropriate to make sure exposure is in line with firm's expectations.  Must have strong problem solving skills. Must be resourceful and able to research and find solutions. Quantitative Degree a plus. This position offers a highly competitive compensation package with long term career opportunities.

Please feel free to explore our site or contact us with any questions you may have concerning this role or another similar position

www.thebachrachgroup.com

Click here to view all of our active Accounting Finance openings