Equities / Fixed Income Risk Manager – New York, United States

Global Financial firm is looking to add an experienced Risk Manager focused on Equities that will be responsible for monitoring each existing business activity and analyzing each new initiative’s risk exposure. Additionally this person will be responsible for assessing risks (market, credit, liquidity, operational, systemic) for current and proposed products and services offered by business line; work closely with other control group counterparts on all new products or changes to existing risk management structure and modeling; identify metrics and create reporting to measure the risks within the Business Unit on an ongoing basis and relay these reports with all control functions. Prefer candidates to have an MBA and at least 8 years of experience in some risk management or financial analysis capacity. Must have strong knowledge of Equities and some Fixed Income products. Candidates should have a good understanding of operational risk, audit, compliance process, guidelines and tools. Must have the ability to lead others and demonstrate success in communicating tactical and strategic information to regulators and senior management. For more information or immediate consideration, please refer to Job#QFC1106 and submit resume in Word format to: