Director – Market Risk, Spread Products

Mizuho Financial Group Inc.

New York (NY)

Hybrid

USD 160,000 - 235,000

Full time

14 days+
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Benefits offered by this job

Medical benefits
Dental benefits
401K plans
Discretionary bonus

Job summary

Mizuho Financial Group Inc. seeks a Director of Market Risk for Spread Products in New York, NY. This role involves supervising market risk, shaping limits framework, and decision making around trade reviews and risk assessments.

The ideal candidate will have over 10 years of experience in market risk management, with a focus on Spread Products, and a Master’s degree in a quantitative field. Proficiency in market risk tools such as Bloomberg and SQL is preferred, along with strong communication skills.

Qualifications

  • 10+ years of experience in market risk management required.
  • Direct experience with Spread Products market risk required.
  • Ability to work under pressure with tight deadlines.

Responsibilities

  • Leading Market Risk monitoring, analysis, and reporting.
  • Strengthening risk controls and improving business policies.
  • Partnering with Trading Heads for balanced risk taking.

Skills

Market risk management
Quantitative analysis
Communication skills
Proficiency in AI tools
Bloomberg
SQL
Python

Education

Master’s degree in a quantitative field

Tools

Bloomberg
Murex
Intex

Job description

## Director – Market Risk, Spread ProductsApplylocations: New York, NY (1271 AOA/6th Ave)time type: Full timeposted on: Posted Todayjob requisition id: R7047**Summary**Risk Manager responsible for supervising Market Risk for Spread Products areas. Key tasks include: shaping limits framework and managing desks’ daily compliance with the limits, interpretation and challenge of risk trends (VaR, risk sensitivities, stress testing, etc.); decision making around trade reviews, risk assessments and pre-approvals; monitoring of market conditions, interpretation of trading patterns and exposure trends; leading deployment of new products, reviewing policies and methodologies, improving reports, models and risk analytics across covered products.**Responsibilities*** Leading Market Risk monitoring, analysis, and reporting.* Strengthening risk controls, improving business policies, procedures and methodologies, challenging trading mandates.* Partnering with Trading Heads for Agency (MBS/TBAs/CMOs) and Non-Agency Securitized Products (ABS/CLO/RMBS/CMBS), Corporate Credit (IG/HY/EM Bonds/Lev Loans/CDS/CDX) and Municipal Products to ensure well balanced risk taking to meet business goals.* Interpreting in-depth market surveillance in the context of portfolio dynamics for senior management, regulators, and other stakeholders.* Leading internal projects to ensure market risk systems improvements in support of existing and new products.**Qualifications*** 10+ years of experience in market risk management required.* Direct experience with Spread Products market risk is required, including 5+ years covering Agency Securitized Products.* Master’s degree in a quantitative field is preferred.* Excellent quantitative, analytical and communication skills.* Bloomberg, Intex, PolyPaths, Murex, SQL, Python, AI tools proficiency is a plus.* Proficiency with FRTB is a plus.* Ability to work under pressure with tight deadlines in a trading desk environment.*The expected base salary ranges from $160,000 - $235,000. Salary offers are based on a wide range of factors including relevant skills, training, experience, education, and, where applicable, certifications and licenses obtained. Market and organizational factors are also considered. In addition to salary and a generous employee benefits package, including Medical, Dental and 401K plans, successful candidates are also eligible to receive a discretionary bonus.* **Other requirements**Mizuho has in place a hybrid working program, with varying opportunities for remote work depending on the nature of the role, needs of your department, as well as local laws and regulatory obligations. Roles in some of our departments have greater in-office requirements that will be communicated to you as part of the recruitment process**.****Company Overview**Mizuho Financial Group, Inc. is the 15th largest bank in the world as measured by total assets of ~$2 trillion. Mizuho's 60,000 employees worldwide offer comprehensive financial services to clients in 35 countries and 800 offices throughout the Americas, EMEA and Asia. Mizuho Americas is a leading provider of corporate and investment banking services to clients in the US, Canada, and Latin America. Through its acquisition of Greenhill, Mizuho provides M&A, restructuring and private capital advisory capabilities across Americas, Europe and Asia. Mizuho Americas employs approximately 3,500 professionals, and its capabilities span corporate and investment banking, capital markets, equity and fixed income sales & trading, derivatives, FX, custody and research. Visit www.mizuhoamericas.com.Mizuho Americas offers a competitive total rewards package.We are an EEO/AA Employer - M/F/Disability/Veteran.We participate in the E-Verify program.We maintain a drug-free workplace and reserve the right to require pre- and post-hire drug testing as permitted by applicable law.#LI-MIZUHO
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