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Risk Management Associate, Derivatives

  • Job type: Permanent
  • Location: New York
  • Salary: Competitive
  • Job reference: kj1
  • Sector: Banking and Finance, Risk Management, Selby Jennings
  • Date posted: 02/04/2018
My client is a global derivatives trading company looking for a risk management associate with a strong background in derivatives products. This opportunity would have you doing risk oversight and analysis for capital markets where you would be working with the model risk group and independently validating those models and it is a business facing opportunity. Located in the heart of New York City, if this is a position that you could see yourself in then don’t hesitate to apply in!

What you will be doing:

Model Validation of Capital Markets

Work in tandem with Product Control and Portfolio Analysis

Analyze and monitor market, credit and liquidity risk

Collaborate with the entire risk management group

Act as a liaison between difference Capital Markets groups

What we will need from you:

4-7 years of derivatives experience or work in capital markets

Masters degree in finance, mathematics, engineering or a quantitative field

Excellent verbal and communication skills

Good analytical and critical thinking skills 

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