2 months ago
We are currently partnered with a multi-national bank in search of a Director/VP of Market Risk. They have flexibility in terms of seniority, VP would be around 6-10 years, Director would be 10+.
This is a great role because it's a newly formed team within a huge organization from a global perspective. It's not often you'll be able to make such an impact at a mature and established bank.
- This is a second-line, product-specific Market Risk control role
- Must have either Rates derivatives or credit knowledge (MBS, ABS, even generic bonds would work)
- Must have programming skills (doesn't matter which language)
- VaR experience would be a plus
The firm is currently operating at a hybrid wfh policy - this should be about 3 days max in the office.
For a VP, base can be up to 160-170k, Director up to 200k.
This role can sponsor if you have an H1b with more than 2 years remaining.