Equity Market Risk Manager job in New York City, NY| Recruit Arrow
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Equity Market Risk Manager
Location : New York, New York City
Refer job # BKPS340703
Job Responsibilities and Requirements: The hired candidate will work closely with other team members in the group and will report to head of the group. The candidate will monitor daily reports of trading activities in Americas, participate in global risk projects, help to produce market risk parameters used in reports and liaise with risk reporting team in enhancing overall risk data quality. She/he will learn to analyze and describe the risks of several key transactions typical in these businesses, construct limit frameworks/reports for the businesses and develop solutions for future regulatory requirements. The opportunity is available for the candidate to learn about broad spectrum of equity/hybrid products including vanilla options, barriers, rainbows, autocallables and other exotic derivatives and to analyze structured transactions, models and trading strategies for these products. She/he will also get actively involved in scenario analyses, VaR/capital calculations and stress testing. The candidate will be able to represent the group in global risk management meetings and to interact with traders and other control functions. Basic equity market and product knowledge with few years of relevant experience. Good quantitative and communication skills and proficiency in Excel spreadsheet with VISUAL BASIC. Other programming knowledge helpful but not necessary. A team player with high level of analytical and problem solving skills.
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