Market Risk Analyst-Structured Credit/Corporate Credit Trading
Major International Bank in NYC is looking for a Market Risk Analyst to cover their Structured Credit and Corporate Credit Trading desks. This position will be responsible for assisting the traders to understand and quantify their P&L and risk and communicate those risks to senior management. Additionally, this position will assist Front Office business heads and traders to understand and better utilize risk capacity. Candidates must have 2-3 years of relevant experience and have knowledge of structured and flow credit products [CDS, IR/FX Swaps, Credit-Linked Notes], market and credit risk methodologies [VaR], the limitations of models and their output, and the ability to communicate with many different levels of co-workers and management.
Please contact Jim Geiger at jeg@analyticrecruiting.com

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