Lead market risk analytics with a focus on capital management and stress testing. As a Senior Manager, you'll ensure accurate enterprise risk measurement while guiding a team in a collaborative environment.
This role requires an experienced leader with strong capital markets expertise and quantitative skills. Deliver robust market risk analyses and reports that meet governance standards while prioritizing accuracy in a complex financial landscape. You'll coordinate with various stakeholders, ensuring your insights support long-term business growth strategies.
Key Responsibilities:
• Manage enterprise-level market risk monitoring and reporting • Guide analytical outputs for accuracy and consistency • Set priorities across deliverables and regulatory initiatives • Drive enhancements in analytics and reporting capabilities • Collaborate with senior stakeholders across functions
Requirements: • 4+ years in financial services with capital markets exposure • Proven people management experience in a deadline-driven environment • Deep understanding of VaR and market risk methodologies • Skilled in project management and organizational execution • Master’s degree preferred; professional designations a plus
Shape the future of market risk analytics through robust leadership and precise decision-making. #J-18808-Ljbffr