A prominent recruitment firm is seeking an Associate for a market risk role in the United States. The candidate will focus on enhancing risk frameworks and ensuring governance oversight across various products. Essential qualifications include over 7 years in market risk at a major bank and strong collaboration skills across teams. This is a full-time position offering a salary range of $110,000 to $140,000 annually.
Qualifications
7+ years of experience in a market risk role within a major Investment Banking institution.
Product knowledge across asset classes: Equities, Rates, Commodities, Credit, FX.
Strong ability to collaborate across teams.
Responsibilities
Drive enhancements to market risk frameworks, policies and standards.
Lead governance oversight across traded products and risk stripes.
Partner with senior stakeholders in Market Risk, Model Risk, Front Office, and Regulatory teams.
Support regulatory interactions and ensure alignment with global supervisory expectations.
Contribute to strategic projects that shape the firm’s future-state risk management architecture.
Skills
Collaboration
Market Risk Expertise
Interpersonal Skills
Job description
Base Pay Range
$110,000.00/yr - $140,000.00/yr
Responsibilities
Driving enhancements to market risk frameworks, policies and standards.
Leading governance oversight across traded products and risk stripes.
Partnering with senior stakeholders in Market Risk, Model Risk, Front Office, and Regulatory teams.
Supporting regulatory interactions and ensuring alignment with global supervisory expectations.
Contributing to strategic projects that shape the firm’s future-state risk management architecture.
Requirements
Experience: 7+ years of experience in a market risk role within a major Investment Banking institution.