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SVP, Market Risk Manager - Equities

Selby Jennings Manhattan, États-Unis
Mise en ligne il y a 26 jours Hybride CDI USD180000 - USD230000 per year

SVP, Market Risk Manager - Equities

Selby Jennings Manhattan, États-Unis
A leading global investment bank is looking to hire a Market Risk professional to lead the growth and expansion of their Equities business in NYC.

A leading global investment bank is looking to hire a Market Risk professional to lead the growth and expansion of their Equities business in NYC.

This is a highly visible role providing independent risk oversight across the equities and corporate credit desks. Partnering closely with trading desks and senior stakeholders to evaluate risk exposures and support key business decisions. The position offers significant front-office interaction and involvement in some of the firm's most complex and high-profile transactions.

In this role you'll work directly alongside traders, quants, and senior management, helping shape risk strategy while ensuring the bank maintains a disciplined approach to market risk across complex portfolios.

Responsibilities:

  • Partner with trading desks to set risk appetite, provide real-time risk oversight, and support business strategy across credit and equity products.
  • Monitor risk exposures, limits, VaR, stress testing, and RWA metrics, communicating key developments and emerging risks to front office and senior management.
  • Conduct pre-trade reviews and risk approvals for complex financing and structured transactions, delivering recommendations on risk-return considerations.
  • Support capital and regulatory initiatives, including CCAR and stress testing, while ensuring adherence to governance standards and identifying opportunities to improve portfolio efficiency.

Qualifications:

  • 3+ years of experience in Market Risk, Trading, Structuring, Valuation, or a related markets-focused role, with strong knowledge of market risk management practices.
  • Strong understanding of equity products, with experience assessing trading risks, pricing methodologies, and hedging strategies; equity derivatives experience is highly preferred.
  • Exposure to structured credit products, is a plus.
  • Proven ability to operate independently, challenge front-office risk-taking decisions, and build effective relationships across trading, risk, and other key stakeholder groups.
job_description_image
Référence  PR/601047
À PROPOS DE CETTE ENTREPRISE
New York, United States
1000 Collaborateurs Ressources humaines
We support the Financial Sciences & Services industry with talent that can truly shape the future of a business. Whether that be Quantitative Analyti...
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