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AVP, Risk Analyst
| Details |
Country: USA
Location: NY New York
Total applied: 6
Relevant Work Experience: 2+ to 5 Years
Career Level: Experienced (Non-Manager)
Education Level: Master's Degree
Job Type: Employee
Job Status: Full Time
Job Shift: First Shift (Day)
Salary: To 105,000.00 USD per year
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AVP, Risk Analyst
An International Bank is seeking an AVP, Risk Analyst for its risk group.
Required: 2-3 years experience in financial role, strong Excel, Access and VB.Analytical/problem solving skills. Strong understanding of technical equity products, such as convertible bonds and options. Able to work with/influence senior managers in Front Office and Control. Able to manage strategic change, expectations. Need to have worked closely with technical equity products, such as convertible bonds and options, plus worked closely with Front Office. MBA or Quantitative degree in Engineering, Math, or Computer Science.
Duties: Ensure NY global equity consolidation reporting process runs smoothly. Work with Risk IT to ensure timely & successful completion of Risk IT projects which improve timeliness and quality of Equity global reporting process. Market risk management for the US equity and equity derivative business. Specialize in cash and convertibles. Identify/quantify risks on new and existing businesses and work with trading to ensure these are managed effectively. Actively involved in all aspects of RMM. Participate in RMM projects such as P&L attribution and trend analysis. Liaise for New Business process and internal audits. Work closely with Global Equity Division. Help group to investigate daily risk sensitivities, VaR, and Economic Risk Capital changes for Global Equity Division. Responsible for reviewing, and sign-off of Daily Equity Division VaR report.
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