Sr. Risk Management

This person will lead the team responsible for all risk related issues of the firm.  This will involve stress testing/scenario analysis of various fixed income markets. ; Daily review of all security, portfolio and benchmark analytics in the firms global risk system.

The ideal candidate will have ten years of financial experience with extensive focus in analysis of fixed income securities.  Experience with various fixed income products including debt, warrants, futures, options, derivatives, etc.  Knowledge of vendor risk systems, strong technical skills. 

For more information including a detailed job specification, please contact Jason Kerkman referencing Job#JCK1177.

Please submit resume in Word format to:  Resume@ComprehensiveRecruiting.com

June 12, 2013 • Tags:  • Posted in: Financial

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