Top Investment Bank – Equity Market Risk Manager – NYC recruitment

You will join the Equities Risk group to look at all traded Equity products globally, and sit with the traders to fully understand and monitor the daily Market Risk is within the established risk appetites. You will use your quantitative understanding to explain the Value at Risk to the traders and fully understand the trade. You will speak with traders, finance, reporting and regulators to calculate the capital. You will have the opportunity to analyze new products and non-standard trades in close collaboration with trading desks and senior risk management.

This is an opportunity to use your product and risk experience and work directly with the Front Office.

Requirements:
-4 – 8 years of Risk Management experience
-Masters degree in Quantitative field
-Excel/VBA/SQL proficiency – be able to write and trouble shoot VBA macros; create and work with large datasets in databases
-Exhibit strong verbal and written communication skills
-Successful candidate is highly motivated, team focused, and eager to learn

Please send your CV in Word doc format to Mairin with Huxley Associates for immediate consideration.

Equity, Equity Derivatives, Market Risk, Risk, Risk Manager, Securitized Products, trading, front desk, VBA, Excel