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VP, Market & Liquidity Risk Manager (New York)
VP, Market & Liquidity Risk Manager (New York)Selby Jennings • New York, NY, US
VP, Market & Liquidity Risk Manager (New York)

VP, Market & Liquidity Risk Manager (New York)

Selby Jennings • New York, NY, US
[job_card.1_day_ago]
[job_preview.job_type]
  • [job_card.part_time]
[job_card.job_description]

A Global Investment Bank in NYC, who is looking to expand their Risk Management Function, is looking to hire a VP to join their Market Risk team to assess trade performances and conduct market, credit, and liquidity risk monitoring, analysis, stress testing, and reporting.

This individual will act as a key point of contact within the team and will contribute to methodology developments for capturing risk while being a part of the Market Risk and Liquidity Risk Coverages. The team is lean, offering high levels of visibility to senior leadership, however the firm has a large scope globally.

The bank is targeting individuals with 6+ years of experience in Market or Liquidity Risk, with previous experience with MBS products and associated metrics like VaR, DV01 and CS01. The team has been together for a while up to date, which has allowed for some of the best culture around. They expect candidates to be able to contribute at a high level to their team and their culture.

Role Objectives

  • Develop, Oversee and Implement risk frameworks for the Branch
  • Analyze and price MBS, ABS, CLOs, etc., as well as non-securitized products such as corporate bonds
  • Use Python, VBA, etc. to contribute to risk methodology and system infrastructure developments
  • Assess trade performance
  • Monitor, Analyze, and Report Market and Liquidity Risk

Qualifications and Skills

  • Minimum 6+ years of experience in Risk Management, Market or Liquidity
  • Experience with Securitized and Financial Products
  • Proficiency with financial applications, e.g., Bloomberg, Polypaths, Yield Book, Summit, Black-Knight prepayment model.
  • Knowledge of Basel framework
  • Deep understanding of Financial Market Mechanisms
  • Project management and communication skills.
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