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RISK MANAGER

Cobalt Recruitment

New York (NY)

On-site

USD 135,000 - 175,000

Full time

2 days ago
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Job summary

A leading global advisory firm seeks a Risk Manager for its New York office. The role involves advising clients on financial strategies, developing bespoke analytical tools, and maintaining client relationships in the financial sector. Ideal candidates should have a professional approach, strong analytical skills, and experience in risk management.

Qualifications

  • 3 years of experience in financial strategies related to FX and interest rate.
  • Strong understanding of financial risks and risk management strategies.
  • Consultative style with excellent communication skills.

Responsibilities

  • Advise clients on risk management and hedging strategies.
  • Develop relationships and source new business in the financial market.
  • Manage client relationships and deliver projects to high standards.

Skills

Risk management
Financial derivatives knowledge
Analytical skills
Business development
Client relationship management

Job description

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This range is provided by Cobalt Recruitment. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

135,000.00 / yr - $175,000.00 / yr

Additional compensation types

Annual Bonus

Experienced Recruiter focused on Finance & Accounting

A leading global advisory firm is looking to add a Risk Manager to its team in New York. As a Risk Manager, you’ll advise clients on FX, Interest rate Derivatives, and hedging Strategies. Risk Managers will be responsible for client relationships, expanding firm business in the US, and working cross-functionally across all teams.

Responsibilities

  • Advise and support our clients in the definition and execution of appropriate risk management / hedge advisory strategies, which predominantly focus on interest rate and foreign exchange exposures.
  • Ensure that robust project proposals are offered and then delivered by professional standards to meet the agreed objectives.
  • Build new sources of business through methodical and systematic business development practices in the local financial sponsor market, making full use of the leverage offered by existing relationships in Europe, the US, and Asia.
  • Once a relationship is formed, the Consultant will be responsible for maintaining and developing the relationship, ensuring we are the treasury advisor of choice for that financial sponsor.
  • Work closely with the other consultants to develop strategies, set objectives, policies, and plans, and identify and target potential clients.
  • Manage and support risk management assignments.
  • Work with the RM team to develop relationships with both existing and potential clients.
  • Manage, improve, and develop current client relationships.
  • Develop bespoke analytical tools for multi assets, RM assignments.
  • Develop assets cross-correlated with the simulation engine.
  • Work with the RM team to enhance our capabilities for fund-level FX hedging.

Experience

  • 3 years of experience, including hands-on responsibility for developing interest and foreign exchange strategies.
  • Highly professional approach commensurate with successful presentations to financial sponsors and the senior management of operating companies.
  • Ability to understand the financial risks a business faces to ensure the definition of an appropriate risk management strategy.
  • In-depth knowledge of different types of financial derivatives.
  • Experience acquired in the banking sector would be advantageous, or consulting experience focused on risk management strategies.
  • a strong desire to grow the business and directly impact its success.
  • Consultative style; strong listening skills, articulate, and excellent writing skills.
  • Must have a strong level of quantitative / modeling.

Seniority level

Mid-Senior level

Employment type

Full-time

Job function

Finance, Sales, and Accounting / Auditing

Financial Services, Banking, and Venture Capital and Private Equity Principals

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