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Job summary
A major investment bank seeks a Mid-Senior Market Risk professional in New York to enhance frameworks, oversee governance, and collaborate with senior stakeholders. Candidates should have over 7 years of experience in market risk within investment banking, with strong knowledge across asset classes including Equities, Rates, and FX. The role includes supporting regulatory compliance and contributing to strategic projects.
Qualifications
7+ years of market risk experience in investment banking.
Strong interpersonal skills for team collaboration.
Responsibilities
Drive enhancements to market risk frameworks, policies, and standards.
Lead governance oversight across traded products and risk stripes.
Partner with senior stakeholders across various teams.
Support regulatory interactions to align with supervisory expectations.
Contribute to strategic projects shaping risk management architecture.
Skills
Collaboration across teams
Knowledge of asset classes (Equities, Rates, Commodities, Credit, FX)
Job description
A major investment bank seeks a Mid-Senior Market Risk professional in New York to enhance frameworks, oversee governance, and collaborate with senior stakeholders. Candidates should have over 7 years of experience in market risk within investment banking, with strong knowledge across asset classes including Equities, Rates, and FX. The role includes supporting regulatory compliance and contributing to strategic projects.