Tier 1 IB seeks VP Level Options risk manager with experience with oil, gas and power portfolios

Tier 1 Investment bank seeks VP Level Options risk manager with experience with oil, gas and power portfolios

New York, USA
Salary – Base: $140,000 – $200,000

A top tier European investment bank is looking for a VP level market risk manager who has experience managing risk across commodities options portfolios including oil, gas and power.  The commodity options desk has been one of the most successful across the business over the last year and the group is now looking to expand the group and they are looking for this to become one of their core businesses.  The ideal candidate will have a strong quantitative background and has experience with commodity options.  Due to the nature of the work it would also be helpful if the candidate has had experience within a top tier investment bank but this is not a pre-requisite.  This role will work directly with traders and front office quants and the group are looking for someone who is able to come in and hit the ground running.  

This role will give the successful candidate the opportunity to:

The successful candidate is likely to have the following skills:

This is an ideal opportunity for someone to make the move from a top tier investment bank, leading fund or asset management firm and take the next step in their career.  The firm has stated that this hire is instrumental for their plans for growth over the next year and they are interested in seeing a range of candidates from different backgrounds within risk management.

July 18, 2013 • Tags:  • Posted in: Financial

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