Salary:
up to $210,000 + bonus and benefits + 401k match up to 12%
Hybrid:
x3 days in office x2 remote
Overview:
The primary focus will be the Prime Brokerage and Equities Financing Businesses, with extended responsibilities supporting risk and margin analysis for fixed income derivatives trading.
- Working with Prime Brokerage and Equities business & Market Risk to analyze & approve client margin rules and setting risk limits;
- Monitoring Prime client portfolios vs. key metrics and taking resolution action when risk is outside firm appetite
- Client pre-trade risk analysis of financing and OTC trades to support approval decisions
- Quantitative risk exposure analysis for Financing & derivatives trading, including VaR Margin and regulatory bilateral margin rules;
- Present views of contingent risk to Market Risk, Front Office and in various management forums
- Aid development of globally consistent analytics & reporting standards
VP - Market Risk - Equities in new york at Unknown Company
This position is listed as full time and able to be worked remotely.