We are partnering with a global investment bank who is seeking a VP, Risk Manager.
As part of a team of risk management professionals, this role will be responsible for a broad range of activities addressing the market risk, credit risk, liquidity risk, and operational risk of the firm. The VP will be responsible for communication, advocacy, and coordination of risk management approaches and policies within the firm in line with the firm's global risk management approaches and requirements.
Successful candidates will have a Bachelors degree in a finance or related subject, as well as five or more years of experience in risk management in a major investment bank or broker dealer. Knowledge of the use and characteristics of common securities and derivatives a must. As this is a highly visible and critical role within the organization, candidates must have high attention to detail. Knowledge of third party systems such as Bloomberg Professional highly desired.
Please contact Lauren Bowden for more information on 646 766 1230.