Market Risk Manager
4 weeks ago
At Bank of America, we are committed to helping our clients achieve their financial goals through responsible growth. As a Market Risk Manager - Rates and CPM, you will play a critical role in identifying and mitigating market-related risks within our Rates and Counterparty Portfolio Management team.
Key responsibilities include:
- Analysis of model risk and market risk
- Reporting and distribution of market risk reports
- Interface with trading desk and other risk and support groups
You will work closely with our trading desk and other risk functions to understand market trends and impacts on our portfolio. Your knowledge of stress testing and its applicability to market risk will be essential in developing effective risk management strategies.
This is a challenging and rewarding role that requires strong analytical and communication skills. If you are a motivated and detail-oriented individual with a passion for risk management, we encourage you to apply.
Requirements:
- Solid academic background, including a postgraduate qualification
- Good people skills and ability to communicate effectively
- Knowledge of financial markets and derivatives
- Ability to multi-task and prioritize competing demands
Benefits:
This role is eligible for a competitive salary and benefits package, including discretionary incentives and paid time off. We are an equal opportunities employer and welcome applications from diverse candidates.
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