Senior Risk Manager – Financial Institution – NYC recruitment
You will be responsible for assessing and managing all Risk across products. You will use your Market and Credit Risk experience to manage the projects and market exposure for multiple portfolios. This is the opportunity to identify and implement new methodologies and develop existing ones. You will use your management experience to supervise analysts on the team and use your Risk experience to identify research Risk methodologies. You will use your communication skills to work with the Regulators and audit Regulatory reports, following requirements.
Requirements:
-7 + years Risk Management experience, Market Risk preferred
-2 + years direct management experience
-Masters of Business Administration, MBA from top school
-Experience working with Equity products
-Strong analytical and communication skills
Please send your resume in Word doc format to Mairin with Huxley Associates for immediate consideration.
Market Risk, Risk, Credit, Equity, Equities, Derivatives, Risk Management, Regulatory