Current jobs related to Market Risk Manager - New York - Mindlance

  • Market Risk Manager

    3 weeks ago


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

    Job SummaryThe Market Risk Manager is responsible for identifying and monitoring market risk exposure and developing mitigation strategies and resolutions in accordance with the bank's risk appetite and risk limits identified, as well as regulatory requirements, as applicable.Key ResponsibilitiesAnalysis of model risk, analysis and reporting of market risk,...

  • Market Risk Manager

    4 weeks ago


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

    Job Title: Market Risk ManagerWe are seeking a highly skilled Market Risk Manager to join our team at Bank of America. As a Market Risk Manager, you will be responsible for identifying, analyzing, and mitigating market-related risks within our organization.Key Responsibilities:Develop and implement risk management strategies to ensure compliance with...

  • Market Risk Manager

    3 weeks ago


    New York, New York, United States Michael Page Full time

    Job SummaryWe are seeking a highly skilled Market Risk Manager to join our team at Michael Page. As a key member of our risk management team, you will play a crucial role in supporting and expanding our comprehensive market and liquidity risk management programs.Key ResponsibilitiesIdentify, assess, monitor, measure, analyze, communicate, and report on...

  • Market Risk Manager

    4 weeks ago


    New York, New York, United States Goldman Sachs Full time

    Job Title: Market Risk ManagerAt Goldman Sachs, we are seeking a highly skilled Market Risk Manager to join our team in New York. As a key member of our Market Risk group, you will be responsible for managing and analyzing market risk across various asset classes, including mortgages and structured products.Key Responsibilities:Develop and implement risk...

  • Market Risk Manager

    3 weeks ago


    New York, New York, United States Barclays Full time

    Job Title: Market Risk ManagerAbout the Role:As a Market Risk Manager at Barclays, you will play a critical role in setting the risk appetite for the Trading portfolio and actively calibrating and monitoring limits. You will be responsible for collecting and analyzing market data from various sources, ensuring that risk is correctly captured, modeled, and...

  • Market Risk Manager

    2 months ago


    New York, New York, United States Dtcc Full time

    Job Title: Market Risk ManagerDTCC is seeking a highly skilled Market Risk Manager to join our team. As a Market Risk Manager, you will be responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and settlement activities in the clearing corporations and the depository.Key...


  • 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.We are seeking a skilled Market Risk Manager to join our team in New York. As a key...

  • Market Risk Manager

    3 weeks ago


    New York, New York, United States Mizuho Financial Full time

    Job SummaryMizuho Financial is seeking a skilled Market Risk Manager to join its team. As a key member of the risk management group, you will be responsible for performing daily Market Risk management duties for the Securitized Products (Agency and Non-Agency), Corporate Bonds, and Municipal Products trading desks.Key ResponsibilitiesExplain and quantify...


  • New York, New York, United States Risk Strategies Full time

    The Family Office Account Manager will play a crucial role in managing the resources for all Family Office clients and assuming an Account Manager role for a select group of Family Office clients. As the primary marketing contact for insurers, this individual will be responsible for the Family Office niche of business. Occasional travel to regional offices...


  • New York, New York, United States Citibank Full time

    Job DescriptionThe Global Rates Team within the Market Risk Management group is responsible for overseeing the G10 Rates Trading business. This role is for a Risk Manager, located in New York, to join an existing team focused on the market risks associated with the G10 Rates Trading business in the region and cover the Non-Linear side.Key ResponsibilitiesBe...


  • New York, New York, United States Crédit Agricole CIB Limited Full time

    Crédit Agricole CIB Limited is seeking a highly skilled Market Risk Manager to join its team in New York. The successful candidate will be responsible for monitoring and analyzing daily market risk exposures, proposing sets of limits, and ensuring all risks are accurately monitored.The Market Risk department in NY monitors various activities, including...


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

    Job Title: Global Markets Risk ManagerThis role is responsible for the analysis, monitoring, and reporting of market-related risks taken within Global Equities. Key responsibilities include analysis and reporting of market risk, stress testing, designing limit frameworks, and interfacing with the trading desk and other risk and support groups.Key...


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

    Job Title: Global Markets Senior Risk ManagerAt Bank of America, we are committed to helping our clients achieve their financial goals through responsible growth. As a Global Markets Senior Risk Manager, you will play a critical role in ensuring the bank's risk management practices are aligned with our strategic objectives.Key Responsibilities:Develop and...


  • New York, New York, United States Crédit Agricole CIB Limited Full time

    Job Title: NY Market Risk ManagerCrédit Agricole CIB Limited is seeking a highly skilled Market Risk Manager to join our team in New York.Job Summary:The Market Risk department in NY monitors various activities, including Treasury, Global Market Trading, and Repo Trading. The Risk Manager will be responsible for proposing sets of limits, suggesting changes...


  • New York, New York, United States Crédit Agricole CIB Limited Full time

    Job SummaryThe Market Risk department in NY monitors various activities, including Treasury (US + Canada + Brazil), Global Market Trading, and Repo Trading. The Risk Manager will be responsible for following part of the NY activities, proposing sets of limits, suggesting changes of methodology, and ensuring all risks are monitored accurately.The Risk Manager...


  • New York, New York, United States Crédit Agricole S.A. Full time

    Job DescriptionCrédit Agricole S.A. is seeking a highly skilled Market Risk Manager to join our team in New York. As a key member of our Market Risk department, you will be responsible for monitoring and analyzing daily market risk exposures in relation to our trading activities.The successful candidate will have a strong understanding of financial...


  • New York, New York, United States Crédit Agricole CIB Limited Full time

    Job Title: NY Market Risk ManagerCrédit Agricole CIB Limited is seeking a highly skilled NY Market Risk Manager to join our team in New York. As a key member of our Market Risk department, you will be responsible for monitoring and analyzing market risk exposures in relation to our trading activities.Key Responsibilities:Propose sets of limits in relation...


  • New York, New York, United States Barclays Full time

    Job DescriptionJob Title: Market Risk Management LeadJob Summary:We are seeking a highly skilled Market Risk Management Lead to join our team at Barclays. As a key member of our risk management function, you will be responsible for setting the risk appetite for the Trading portfolio and actively calibrating and monitoring limits.Key...


  • New York, New York, United States Hispanic Technology Executive Council Full time

    Job Title: SVP, Senior Market Risk ManagerGlobal Spread Product Credit Market Risk is a key group within Citi Market Risk organization, covering all trade-able credit products, including corporate, sovereign, EM, spanning from vanilla single name to exotics and structured products.Our team works closely with trading businesses and other cross-functional...


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

    Job Title: Global Markets Risk ManagerThis role is responsible for analyzing, monitoring, and reporting market-related risks taken within Global Mortgages and Securitized Products. Key responsibilities include analyzing and reporting market risk, stress testing, designing limit frameworks, and interfacing with the trading desk and other risk and support...

Market Risk Manager

2 months ago


New York, United States Mindlance Full time

Job Title: Market Risk Regulatory Program Manager (FRTB)

Location: New York, NY (Hybrid)

Duration: 12+ Months (Possible extension/Conversion)


Role Description:

The role will be part of a core central Program Management Team charged with ensuring the timely execution of deliverables across all workstreams whilst imparting subject matter expertise and know-how.


The candidate must have an experienced project management/transformation/change management background and extensive FRTB Markert risk subject matter expertise.


Primary Responsibilities:

• Has a Regulatory Understanding and experience with regulatory interpretation

• Translate regulation into what work and activity needs to be done

• Liaise with stakeholders and accountable executives to drive regulatory change/workstream implementation

• Project Management Skills

• Has experience working on front-office change projects (desk-facing)

• Has market risk experience

• Transformation/change management / PMO experience with a focus on Capital Markets initiatives to address regulatory, audit, risk and control and/or risk management issues

• Working knowledge of Markets business and products (FICC and Equities) and/or regulatory capital

• Ability to influence and build collaborative relationships across Global Markets with front-to-back stakeholders, e.g., trading desk, finance, operations, technology, risk management

• Experience analyzing large datasets using SQL, Python, a plus

• Assist in ensuring that all target state tools, processes, and controls are socialized effectively and are approved at or by the appropriate governance forum or level

• Manage internal and external dependencies across initiatives, including working closely with Risk Managers, Product Owners, Front Office, Product Control and Technology teams

• Identify challenges and proactively seek to resolve or escalate risk and issues in a timely and well-articulated manner to the projects by engaging relevant stakeholders and PMs

• Engage senior stakeholders continuously by escalating and resolving issues as they arise

• Produce accurate and insightful project update materials and artifacts, tailoring to various forums and committees

• Build strong relationships, adopting a joined-up approach, to support the execution of programs


Key Skills Required:

• Understanding of FRTB regulations and implementation

• 5+ years’ experience working in Market Risk

• Experience working with front-office policies and mandates

• Strong & proven track record in strategic project management and delivering complex solutions are essential

• Has Front Office - Desk Facing Project Experience

• Has significant experience in Capital Markets Transformation

• Significant experience in scoping, developing, and prioritizing plans for strategic initiatives

• Excellent oral and written communication skills; must be articulate and persuasive with the judgment and authority to provide insightful commentary to senior stakeholders

• A solid understanding of mechanisms to track and communicate performance

• Ability to drive change to business practices by working effectively across a global organization and understanding different perspectives

• Thought leadership in target state design through engaging stakeholders at various levels of the organization

• Demonstrated analytical skills with follow-up and problem-solving capability


Key Skills Preferred:

• Minimum of 10 years of relevant industry experience

• Experience in Market Risk and Regulatory related projects

• Bachelor’s/University degree, Master’s degree preferred

• Project Management certifications e.g. PMP or equivalent a strong plus


“Mindlance is an Equal Opportunity Employer and does not discriminate in employment on the basis of – Minority/Gender/Disability/Religion/LGBTQI/Age/Veterans.”