Global Markets Risk Sr. Manager

1 month ago


New York, New York, United States Bank of America Full time

Job Description:

At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every connection. Responsible Growth is how we run our company and how we deliver for our clients, teammates, communities and shareholders every day.

One of the keys to driving Responsible Growth is being a great place to work for our teammates around the world. We re devoted to being a diverse and inclusive workplace for everyone. We hire individuals with a broad range of backgrounds and experiences and invest heavily in our teammates and their families by offering competitive benefits to support their physical, emotional, and financial well-being.

Bank of America believes both in the importance of working together and offering flexibility to our employees. We use a multi-faceted approach for flexibility, depending on the various roles in our organization.

Working at Bank of America will give you a great career with opportunities to learn, grow and make an impact, along with the power to make a difference. Join us

Job Description:
This job is responsible for the local and/or global management and direction of applicable market related risk management functions within a specific product area. Key responsibilities include monitoring and adhering to market risk management policies, procedures, and standards, and implementing new/complex product approval processes, analysis of model risk, analysis and reporting of market risk, distributing the market risk reports, and interfacing with the trading desk and other risk and support groups (i.e., Compliance, Finance, Operations, etc.).

Responsibilities:

Provides oversight of identification of market risk exposures and mitigation strategies and resolutions in accordance with the bank's risk appetite and risk limits identified, as well as regulatory requirements, as applicableProvides oversight of risk requests, breach remediations and providing risk effective challenges for front line unitsOversees development of market risk coverage plans, execution of monitoring, testing and risk assessments, and market risk reporting for specific productsLiaisons with businesses to understand market trends and impacts on portfolio, using knowledge of stress testing and its applicability to market riskEnsures adherence to the policies and procedures established by the companyMarket Risk Manager primarily covering FRTB deliverables for various Line of Businesses (LoBs), such as Global Credit, Mortgages, Rates, Equities, etc. Key responsibilities include (but not limited to) the following:

- Review and challenge FRTB sensitivities (such as delta, vega and curvature) to ensure completeness and accuracy, based on Front Line Unit (FLU)'s data quality analysis and Market Risk Management's BAU expertise.
- Conduct trading desk level stress testing:
Review desk level vulnerabilities, illiquid, one-way and concentrated risks on a quarterly basis and maintain a key risks inventory for major LEs at desk level
Design custom scenarios for more complex derivative / exotic desks to address their specific vulnerabilities
Enhance risk reports to include the recalculation of the individual stress scenario loss amounts for these desks on a daily basis
- Calibrate and monitor FRTB sensitivities limits and monitoring metrics for LoBs

In order to gain the expertise to be able to handle FRTB deliverables, the role also needs to contribute to managing BAU risk positions and performing quantitative and qualitative analysis. Key components include:
- Identifying, managing, and communicating risk exposures
- Risk reporting across a broad range of audiences ranging from individual traders, to senior management and regulators
- Ensuring robust procedures to maintain regulatory compliance

The market risk manager will additionally assess a broad spectrum of risks, liaising with other risk functions as necessary, including operational, credit, and counterparty risks.

Required Qualifications:
There is no unique background defining a successful Risk Manager. However, a quantitative mind, natural curiosity, a desire to challenge the status quo while searching for gaps and trying to see the big picture are key requirements. One or more of the following qualities would be beneficial:
Previous experience as a Risk Manager working directly with the Front Line and performing risk analysis
Strong quantitative and technical/programing skills
Decent FRTB knowledge
Solid academic background, which may include a postgraduate qualification
Good people skills demonstrated across various communication styles (both written and verbal)
Knowledge of financial markets, ideally with solid understanding of Macroeconomics
Understanding of financial derivatives and modelling
Ability to multi-task and prioritise across several competing demands, meeting tight deadlines
Effective team player
Intellectual curiosity
Excellent problem-solving skills.
Highly motivated with the drive and potential to learn from others.

Skills:

Analytical Thinking Critical Thinking Portfolio Analysis Risk Analytics Collaboration Decision Making Oral Communications Presentation Skills Written Communications Issue Management Monitoring, Surveillance, and Testing Regulatory Compliance Technical Documentation Trading Strategy Shift:1st shift (United States of America)Hours Per Week: 40

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