Market Risk Manager Associate - New York - ECC45528

Excellence Corporate Consulting

$90K — $130K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in market risk, trading, or related roles
  • Strong technical understanding of at least one asset class, including non-linear derivatives
  • Graduate or Master's degree in a quantitative or computing discipline
  • Proven problem-solving skills with a control mentality
  • Ability to collaborate across various departments and seniority levels
  • Strong communication skills to convey complex information to senior management
  • Programming skills are a plus

Responsibilities

  • Join a team focusing on related businesses, starting with Rates
  • Expand your coverage and responsibilities as you progress
  • Enhance your understanding of diverse products and trading strategies
  • Develop a wide professional network through cross-group interactions
  • Utilize advanced market risk management techniques and systems
  • Encourage innovation within your role
  • Engage in a dynamic teamwork environment with access to senior leadership

Benefits

  • Extensive people development program to support career growth
  • Opportunities for exposure to a variety of products and trading strategies
  • Dynamic team environment with strong emphasis on collaboration
  • Access to senior leaders across the firm
  • Encouragement of innovative thinking in all areas of work
Full Job Description
Job Summary & Responsibilities

HOW YOU WILL FULFILL YOUR POTENTIAL
- Initially you will join a team within MRCA covering closely related businesses, focusing on Rates. As you progress, there will be opportunities to change and/or expand your coverage.
- As you grow so will your opportunities and responsibilities. We have an extensive people development program to support you in building a successful career at GS.
- Gain exposure and improve understanding of a wide range of products and trading strategies.
- Improve your knowledge base and network via close interaction with a broad variety of groups across the firm.
- Gain exposure to cutting edge market risk management techniques and systems.
- Actively encouraged to innovate in all areas of your role.
- Take advantage of a dynamic team work environment and access to senior people across the firm.

SKILLS AND EXPERIENCE
- Experience in a market risk team, trading role, or a similar risk and product focused role such as product control
- Strong technical understanding of at least one asset class including non-linear derivatives.
- Graduate or Masters with a quantitative / computing background
- Proven problem solving ability and control mentality
- Ability to collaborate with people from different departments and levels of seniority
- Desire & ability to communicate complex information directly with senior management both verbally and in writing
- Self-motivated team player
- Programming experience

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