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Our client is one of the largest securities firms and investment banks in the nation. They provide innovative financial solutions through their Wealth Management, Capital Markets, Futures and Advanced Clearing & Prime Services divisions.
The Chicago office is hiring for an experienced Assistant Vice President, Market Risk Analytics Manager FICCS to join our Risk and Credit Group. The primary function of this role is to act as a Market Risk Analytics Manager focusing on futures, options on futures, FX, power products and Fixed Income. This position will be responsible for monitoring client trading in multi-asset classes and create risk-monitoring reports.
This person will manage a team that issues intraday/overnight calls and risk limit breaches to clients while answering and investigating any inquiries or disputes
They will calibrate risk systems and reporting for daily monitoring and management reporting packages and oversee and Manage Stress Testing and 1.73 liquidation reports.
Inspect client performances by evaluating intraday/overnight profit & losses and stress tests to
Identify any potential dangers and present protective measures against price fluctuations of client positions
Back up for daily approval of outgoing wires and ACHs
Manage and conduct reports on various Exchange Default Management Systems
Perform other tasks and duties as assigned and required
Experience and Skills
Benefits
As part of the overall compensation package, our client offers an array of diverse benefits to our Colleagues.
Full Time
Banking
$122k-151k (estimate)
06/23/2024
07/21/2024
glocap.com
GREELEY SQUARE, NY
50 - 100
1997
ADAM ZOIA
$10M - $50M
Banking