Head of Trade Analysis New York – VP recruitment
THE ROLE INVOLVES: • Manage a successful, well performing team • Be service oriented and make sure team is providing high quality service. Build up a good working relationship with clients in Credit Risk Management and Front Office • Make sure analysis that is delivered is accurate and completed in a timely fashion • Take ownership of projects aimed at improving exposure measurement, deliver high quality work in a timely fashion. Partner effectively with other stakeholders involved in project work • Identify areas of improvement and see initiatives through to completion Divisional Overview The Read more […]
Consumer Risk Model Review (VP level) recruitment
The effective management of models, to optimize their use and identify and understand the nature of model risks, is critical to ensuring the bank remains competitive and appropriately mitigates risk. The bank considers validation to be a key aspect of model governance, and has tasked a dedicated team within the group to validate the key risk models used across all the consumer lines of business – covering lending products such as mortgages, credit cards, auto finance, and checking account overdrafts. Validation processes include independently reviewing new risk models being considered for Read more […]
Senior Model Risk Governance recruitment
In particular, the group reviews economic and regulatory capital models, analyses complex model risk, and assesses appropriateness of risk measurement and reserve methodologies in major lines of business (Commercial Bank, Treasury Services, Asset Management, Corporate Treasury, Chief Investment Officer etc.). Team members have opportunities for exposure to a variety of business areas and research projects. Core responsibilities: • Analyze complex capital models, engines, and risk methodologies • Assess suitability of pricing models and engines to particular products • Liaise with Read more […]
OTC Risk Manager, recruitment
AD, OTC Risk Manager, Risk ManagementNew York, NYDescriptionOverview:Our client is the leading exchange and clearing house for listed products. In its unique position as the most diverse clearing house, it is in the forefront of the clearing of OTC products, which is mandated by the financial reform. Position Description: Our client has an immediate opening for a senior Risk Manager for cleared OTC products. This is an Associate Director level position or Risk Manager depending on experience. They offer a very competitive compensation and a benefits package.The immediate focus of this role will Read more […]
Risk Reporting Analyst recruitment
• Executes production and development of comprehensive risk information used by the risk control team, by senior management at all levels throughout the firm and by external stakeholders (regulators, shareholders, rating agencies) • Promotes consistent, standardized reporting of risk • Analyzes data from new Risk System to see if figures are in line with expected figures for the particular product • Works closely with Risk Reporting and Risk Managing personnel on anomalies detected during the analysis • Tracks and monitors relevant issues raised to IT and Business Analysts to resolve Read more […]
Equity Risk Management recruitment
This person will work within the risk management group on firm’s Equity Risk management initiatives, responsible for critically analyzing and assessing market risk in detail, and taking on active role in assisting portfolio risk management and portfolio construction decisions. On a daily basis this person will assist the risk management team in assessing, reporting and mitigating risks in the firm’s portfolios and processes; Augment and develop risk analytics and reports using RiskMetrics, other tools, or custom programming and incorporate them into the risk evaluation process; Perform ad-hoc Read more […]
IB Risk – Credit Risk Management: Technology, Media, & Telecom – Vice President – New York recruitment
J.P. Morgan is a leader in financial services, offering innovative and intelligent solutions to clients in more than 100 countries with one of the most comprehensive global product platforms available. We have been helping our clients to do business and manage their wealth for more than 200 years and we keep their interests foremost in our minds at all times. This combination of product strength, intellectual capital and character sets us apart as an industry leader.J.P. Morgan is part of JPMorgan Chase Co. (NYSE: JPM), a global financial services firm with assets of $2.0 trillion.IB Credit Risk Read more […]
IB Risk – Clearinghouse / Settlement Risk – VP or ED – New York recruitment
J.P. Morgan is a leader in financial services, offering innovative and intelligent solutions to clients in more than 100 countries with one of the most comprehensive global product platforms available. We have been helping our clients to do business and manage their wealth for more than 200 years and we keep their interests foremost in our minds at all times. This combination of product strength, intellectual capital and character sets us apart as an industry leader. J.P. Morgan is part of JPMorgan Chase Co. (NYSE: JPM), a global financial services firm with assets of $2.0 trillion.The Investment Read more […]
Tier 1 Investment Bank requires experienced Market Risk Quant recruitment
Leading Tier 1 investment bank is looking for an experienced Market Risk Quant to join their Front Office team on a 4-month contract – highly competitive day-rates are one offer for the right candidate. Montash Associates has been retained by a Tier 1 Investment Bank, to find an experienced Market Risk Quantitative Analyst to join their New York Risk Analytics team on a 4-month contract. The risk analytics team is responsible for providing oversight of policies, procedures and standards concerning the development, implementation and control of market risks. The position will work closely with Read more […]
NYC Financial Institution – Fixed Income Derivatives Market Risk recruitment
You will combine your Market Risk experience and expertise in Fixed Income Derivatives to monitor the daily risk and identify and analyze trading PL sources. You will use your quantitative skills to validate new pricing models and make changes to existing ones. You will have the opportunity to develop new procedures and limit structures, while also developing, testing and documenting risk management models. You will use your strong communication skills to interface with the front office on day-to-day trades, as well liaise with the staff, finance and operations. This is a unique opportunity Read more […]