Vice President, Derivatives and Capital Markets

Responsibilities:
- Develop research and analysis on evolving capital market risks for the Capital Markets Solutions team. Recommend trade ideas across the derivative portfolio. Drive execution of trades.
- Develop internal partnerships that facilitate sharing of risk information and results across functional lines, resulting in an integrated risk management effort. Partners include audit, compliance, annuities product development, investment operations, and finance. Be an active supporter and thought leader for collaboration within the investment risk management team itself.

Qualifications:

- Minimum 7 years of financial markets experience trading and/or risk modeling
- 5+ years experience in the use of advanced mathematical modeling techniques.
- 5+ years experience with the implementation of hedge strategies involving both listed and OTC derivatives.
- 5+ years of proven project management skills with ability to lead and drive complex cross functional projects.

Preferred Qualifications:

- Knowledge and training in risk management concepts and industry parlance, practices and techniques with specialization in market, credit and operational risk.
- Executive presence, maturity and presentation skills to interact with senior management.
- Strong problem solving, analytical, strategic thinking skills with a wide business manager perspective.

October 25, 2013 • Tags:  • Posted in: Financial

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