Market Risk Manager - Equity Derivatives

Mizuho
New York, NY
Job Description
Role Overview

Risk manager responsible for supervising Market Risk for Equities, leading Market Risk monitoring, analysis, and reporting, and strengthening transparency for new products.

What You Will Do

Leading Market Risk monitoring, analysis, and reporting, partnering with Trading Desks, providing Senior Management with portfolio dynamics and market sensitivities, and utilizing AI to optimize efficiencies.

Why It Might Be a Fit

7+ years' experience in Equity Market Risk, excellent quantitative, analytical and communication skills, ability to work under pressure, and comfort with large data.

Requirements

  • 7+ years' experience in Equity Market Risk
  • QIS and Corporate Derivatives exposure
  • Excellent quantitative, analytical and communication skills
  • Ability to work under pressure with tight deadlines
  • Excel VBA, SQL and Python proficiency

Benefits

  • Medical
  • Dental
  • 401K plans
  • Discretionary bonus
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