CIBC

Executive Director, Commodities and Fixed Income Risk Manager

CIBC$188K — $291K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required
  • 5 years of market risk management experience in finance
  • 3 years quantifying and analyzing market risks using methodologies
  • 3 years experience with pricing for linear and non-linear trading products
  • 3 years utilizing API and functionalities of Bloomberg terminals
  • 3 years experience with data analytics

Responsibilities

  • Analyze market risk for US commodity, bonds, and rates trading activities
  • Establish risk frameworks and processes for market risk exposure
  • Monitor and communicate risk profiles and market developments
  • Disseminate market risk information to senior management
  • Design and enhance risk models for accurate risk capture
  • Prepare risk analyses for new initiatives and significant trades

Benefits

  • Competitive salary and incentive pay
  • Comprehensive benefits program including banking benefits
  • Flexible vacation offerings
  • Wellbeing support initiatives
  • Purpose Day for personal growth and development investment
Full Job Description
What you'll be doing:

CIBC World Markets Corp. seeks an Executive Director, Commodities and Fixed Income Risk Manager to analyze market risk for US commodity, bonds, and rates trading activities. Establish risk frameworks and processes to control and monitor against all market risks. Maintain continuous awareness of risk profiles and market developments. Facilitate effective dissemination of timely and accurate market risk information to senior management. Design, build, and enhance risk models to ensure market risks are appropriately captured. Prepare risk analyses in connection with business requests for new initiatives, financial products, and large trades. #LI-DNI

Who are you:

Position requires a Bachelor’s degree, followed by 5 years of progressively responsible experience with market risk management in a financial industry setting. Experience must include a minimum of: 3 years of experience with quantifying and analyzing market risks by applying financial risk methodologies and metrics, including value-at-risk, stress testing, and risk sensitivities; 3 years of experience with the pricing and risks associated with linear and non-linear trading products; 3 years of experience with utilizing API and other functionalities of Bloomberg terminals; and 3 years of experience with data analytics. Part-time telecommuting permitted.

Job location: New York, NY. RATE OF PAY: $188,178.00 - $291,700.00 per year. To apply, please visit and enter Job Requisition ID 2613881. Alternatively, please send your resume, cover letter, and a copy of the ad to: CIBC, Attn.: H. Lazzaro, 300 Madison Avenue, New York, NY 10017.

What CIBC Offers

  • We work to recognize you in meaningful, personalized ways including a competitive salary, incentive pay, banking benefits, a benefits program*, a vacation offering, wellbeing support, and MomentMakers, our social, points-based recognition program.

  • Our spaces and technological toolkit will make it simple to bring together great minds to create innovative solutions that make a difference for our clients.

  • We cultivate a culture where you can express your ambition through initiatives like Purpose Day; a paid day off dedicated for you to use to invest in your growth and development.

*Subject to plan and program terms and conditions

What you need to know

  • You need to be legally eligible to work at the location(s) specified above and, where applicable, must have a valid work or study permit.

  • We may ask you to complete an attribute-based assessment and other skills tests (such as simulation, coding, MS Office). Our goal for the application process is to get to know more about you, all that you have to offer, and give you the opportunity to learn more about us.

Job Location

NY-New York, 300 Madison Ave Fl 5

Employment Type

Regular

Weekly Hours

40

Skills

Analytical Thinking, Decision Making, Long Term Planning, Market Risk Analysis, Market Risk Management, People Management, Regulatory Requirements, Risk Management Framework

About CIBC

The Canadian Imperial Bank of Commerce is a Canadian multinational banking and financial services corporation headquartered in Toronto, Ontario. The bank is headquartered at Commerce Court in the city's Financial District. CIBC's Institution Number is 010, and its SWIFT code is CIBCCATT. It is one of two Big Five banks founded in Toronto, the other being the Toronto-Dominion Bank. The Canadian Imperial Bank of Commerce was formed through the June 1, 1961, merger of the Canadian Bank of Commerce and the Imperial Bank of Canada, the largest merger between chartered banks in Canadian history. The bank has four strategic business units: Canadian Personal and Business Banking, Canadian Commercial Banking and Wealth Management, U.S. Commercial Banking and Wealth Management, and Capital Markets. It has international operations in the United States, the Caribbean, Asia, and United Kingdom; Globally. CIBC serves more than eleven million clients, and has over 40,000 employees. The company ranks at number 172 on the Forbes Global 2000 listing.
Learn more about CIBC
Market Cap
$43.5 billion
Industry
Founded
1867
5 Year Trend
+8.8%

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