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Benefits offered by this job
Comprehensive health care coverage
Retirement savings plan
Tuition reimbursement
Job summary
A leading financial institution in New York is seeking a Market Risk Manager to join their team. You will play a key role in identifying and managing financial risks associated with trading activities. Candidates should have a relevant degree and at least 3 years of experience in risk management. Strong analytical skills and effective communication abilities are essential. The role offers a competitive salary and opportunities for professional growth.
Qualifications
Minimum 3 years of relevant experience in derivatives or risk reporting.
Comprehensive understanding of CRE cash flow models.
Strong knowledge of fixed income markets and commercial real estate assets.
Responsibilities
Monitor risk exposures associated with CRE assets.
Identify threats and weaknesses within the risk profile.
Conduct scenario analysis and stress testing.
Skills
Strong analytical and quantitative skills
Excellent written and verbal communication skills
Ability to multi-task and work well under pressure
Education
Bachelor's degree or higher in economics, finance, or a quantitative field
Tools
Python
Job description
A leading financial institution in New York is seeking a Market Risk Manager to join their team. You will play a key role in identifying and managing financial risks associated with trading activities. Candidates should have a relevant degree and at least 3 years of experience in risk management. Strong analytical skills and effective communication abilities are essential. The role offers a competitive salary and opportunities for professional growth.