Senior Vice President, Equities Market Risk Manager
Senior Vice President, Equities Market Risk Manager
About the Company
Top-tier investment bank
Industry
Financial Services
Type
Privately Held
About the Role
The Company is seeking a VP/SVP - Equities Market Risk Manager to join their team. The successful candidate will be responsible for providing market risk oversight for the firm's equity derivatives business, which includes a range of products such as structured equities, exotics, options, delta-1, and corp derivatives. This role involves working closely with traders to assess risk and limit usage, as well as communicating risk metrics like VaR. The ideal candidate should have a minimum of 6 years' experience in a market risk or trading role, with a deep understanding of equities markets and equity derivatives. Key responsibilities for the VP/SVP - Equities Market Risk Manager include working with external regulators to ensure compliance with FRTB and CCAR, and collaborating with various internal teams to enhance market risk practices for equity derivatives trading. The role requires excellent communication skills and the ability to engage with senior management and front office personnel. The candidate will be part of a relatively lean team, with the opportunity for significant exposure to senior management and business decision-makers from the outset. The company is known for its positive culture and growth opportunities, making this a great opportunity for a professional looking to advance their career in a dynamic and supportive environment.
Travel Percent
Less than 10%
Functions
- Finance
Additional Information
- City
- New York City
- State
- NY
- Zip
- 10001
- Country
- United States
- Job Type
- Finance
- Mobile Friendly Apply
- No
- Html Jobs
- Yes
- Url
- https://click.appcast.io/t/AVrYl40bq6P0irWt1GCmJqS-N9xXEDTHFqCRHz5srsPXAvmzuOjGjC1kfCetohhfoy3avLT7llXgVw7X2g9yrQ==
- Cpc
- 0.22