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Manager Risk Management

3 months ago


Chicago, United States Chicago Mercantile Exchange Inc. Full time

Description

The Manager of Risk Management will be responsible for identifying, evaluating, measuring, and monitoring key risks related to derivatives and cash securities clearing. The Manager will assist in developing and updating risk management policies, procedures, and methodologies related to market, collateral, and liquidity risk. The manager will review acceptable collateral, evaluate counterparties, potential settlement obligations, and exposures arising from trade execution and settlement activities in both CFTC and SEC regulated clearing houses. The Manager will be responsible for understanding margin and liquidity calculations and performing in-depth research and analysis of market, credit, liquidity, collateral, and position data to identify risks, develop mitigation processes, and present findings to Senior Management In addition, the Manager will play an active role in cross-department projects and aid in preparing documentation for regulatory requests. The role is highly dynamic and demands independent, creative thinking, with opportunities to take full ownership of projects.

Responsibilities: Leverage financial analysis knowledge and CME's risk framework to evaluate potential credit, collateral, market, and liquidity risks to CME Clearing and its counterparties. Develop and maintain risk management policies, procedures, and methodologies in line with CME Clearing's risk framework and regulatory requirements. Perform market and ad-hoc analysis, including any competitive analysis or key market events and impact to clearing members and market participants. Develop thoughtful, well-organized and on-point analysis of pertinent risk issues. Ensure sufficient margin and liquidity resources are available and identify changes in risk exposures and liquidity needs and potential settlement obligations Present analysis and other projects to risk committees and the Senior Management team at weekly, monthly, and quarterly meetings. Aid in the compliance of CME's regulatory requirements through engagements with regulators and providing assistance in regulatory and third-party requests. Work with other teams within clearing, product development, sales, treasury, and legal on analysis and other projects. Compose and communicate key counterparty, industry and market news items and how they will impact CME and its counterparties. Act as a mentor to junior staff on Clearing House Risk Team and throughout the Clearinghouse Demonstrate a strong understanding of CME's markets and the risks they pose to the Clearing House and counterparties. Demonstrate a strong understanding of all counterparties, the risks they face, and their exposure to CME.

Skills: Strong knowledge of U.S. Government Securities, and Treasury market structure preferred. Strong analytical, quantitative, and organizational skills. Excellent written and verbal communication skills. Ability to shift fluidly between multiple projects as priorities change. Ability to work independently accurately and to meet deadlines. Must work well in a team environment. Familiarity with derivatives and fixed income securities as well as applicable CFTC and SEC regulations preferred. Familiarity with SQL, VBA, or Python preferred. Self-motivated professional.

CME Group: Where Futures Are Made

CME Group (www.cmegroup.com) is the world's leading derivatives marketplace. But who we are goes deeper than that. Here, you can impact markets worldwide. Transform industries. And build a career shaping tomorrow. We invest in your success and you own it, all while working alongside a team of leading experts who inspire you in ways big and small. Problem solvers, difference makers, trailblazers. Those are our people. And we're looking for more.

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