Market Risk Manager - Equities & Fixed Income, New York City, NY
Market Risk Manager - Equities & Fixed Income
Company:
Comprehensive Recruiting
Location:
New York City, NY
Remuneration:
Negotiable based on experience
Years Experience::
5-7 yrs
Position Type:
Permanent
Employment type:
Full time
Updated:
21 Nov 2009
eFC Ref no:
581384
Global Investment bank is looking to hire a risk manager with a financial control background.
Candidates will be responsible for monitoring VAr models for the equity and fixed income trading portfolio; back testing VaR with economic trading pnl and hypothetical pnl. They will oversee risk proof and control process to ensure risk data is complete and accurate; improve control framework; etc. This person will work clsoely with the market risk reesearch team to analyze VaR model deficiencies; identify risk and PL drivers.
The ideal candidate will have a minimum of five years of experinece in finace, risk or another related field. A strong understanding of equity and fixed income products and concepts such as greek sensitives are essential. A prior background working in a control function is desired. Please inquire for further details.
For more information please refer to Job#JCK859 and submit resume in Word format to: ian@comprehensiverecruitng.com
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