Long term opportunity to develop the team and enhance the risk management framework. Responsibilities include stress testing, risk monitoring, trading and strategy analysis. Must be able to think strategically, solve problems and work in a fast-paced team environment. The successful candidate must hold an advanced degree (MBA, MS or PhD) in a related discipline and have 7-10 years of experience in Fixed Income Market Risk management in a banking environment. The position also requires excellent analytical abilities, managerial talent and communications skills. Product knowlege in fixed income (IR derivatives, FX, MBS, CMO and treasuries) is essential. Technical skills with Excel, VBA, SQL is required, C++ and/or Matlab is a plus. This position offers a competitive compensation package with long term career opportunities.
Refer to Job#17177-EFC and email MS Word attached resume to Gary Teaman, gteaman@analyticrecruiting.com or register online at www.analyticrecruiting.com choosing Gary Teaman as your contact recruiter.
Gary Teaman
Analytic Recruiting Inc.
GT040-17177
Note: Please quote eFC Ref: 563543 when applying for this job.