$110000 - $130000
6 months ago
We have partnered with a leading global bank to find a Market Risk professional to join their Risk team in New York.
This is an exciting opportunity in which you will support a wide range of market portfolio including debt instruments and FX products.
The client here is looking for candidates with a minimum of 3+ years of experience in fixed income derivatives, analytics, or a related role for a large-scale business.
- Good understanding of capital calculation methodology
- Good understanding of VaR models for derivatives and cash products.
- Experience in developing MIS tools using powerBI, excel and python is a plus.
To apply, please share an up-to-date copy of your resume to email@example.com. For more information, please contact me directly via email or at 646-751-7173.
At this time, the business cannot support visa sponsorship for this position.