Associate Market Risk Manager - Dallas Associate Market Risk Manager - Dallas …

Selby Jennings Investment Banking
in Dallas, TX, United States
Permanent, Full time
Last application, 18 Oct 21
Negotiable
Selby Jennings Investment Banking
in Dallas, TX, United States
Permanent, Full time
Last application, 18 Oct 21
Negotiable
Selby Jennings Investment Banking
A prestigious American Investment Bank is looking to build-out their Market Risk Management team, searching for the best candidates on the market to join their group as an associate-level Market Risk Manager for their Dallas office.

A prestigious American Investment Bank is looking to build-out their Market Risk Management team, searching for the best candidates on the market to join their group as an associate-level Market Risk Manager for their Dallas office.

The bank is looking for candidates with deep knowledge across asset classes, and knowledge specifically in real estate, private equity, or interest rate risk. This hire will work directly with the trading desks across these areas of coverage to set and analyze risk limits and exposures in relation to the firm's appetite.

The bank is ideally looking for candidates with deep knowledge across these asset-classes and products, excellent communication skills in working with senior management and the front office, and an understanding of risk metrics.

Responsibilities:

  • Evaluate risk taking behavior and influence outcomes through portfolio and transaction level risk analysis
  • Apply understanding of risk factors and analyze their impact on the firm's portfolios.
  • Setting risk limits dependent on the firm's risk appetite
  • Presenting to the risk committee and senior management
  • Implementation of new risk measures and improvements to existing measures

Qualifications:

  • Degree in Finance, Economics, or a related quantitative/analytical field
  • Deep understanding of asset-classes and product coverage, most favorably: Fixed Income Products, Real Estate/ Mortgage Products, Private Equity, Institutional Lending portfolios, Interest Rate Risk management in Banking Book
  • Excellent communication and analytical skills
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