Risk Associate - Equity Volatility

Millennium Management, LLC

$160K — $250K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 4+ years of experience in equity derivatives, structuring, trading, or risk management
  • Familiarity with products like options, variance swaps, VIX derivatives, and delta one
  • Cross-asset exposure in rates, FX, or commodities is beneficial
  • Strong communication and interpersonal skills for effective stakeholder collaboration
  • Willingness to learn from senior members and deepen product/risk knowledge
  • Solid quantitative, analytical, and problem-solving abilities
  • Programming skills in Python are essential

Responsibilities

  • Support implementation of the firm's risk management framework across equity derivatives
  • Monitor P&L and analyze performance drivers effectively
  • Oversee VAR, stress tests, and risk limits, escalating breaches as needed
  • Contribute to regular portfolio risk reporting and capital use
  • Identify concentration risks and changing market vulnerabilities
  • Maintain awareness of market conditions and event risks
  • Collaborate with tech teams to enhance risk tools and analytics
  • Develop and improve models to monitor risk and P&L drivers

Benefits

  • Comprehensive benefits package
  • Discretionary performance bonus
  • Support for ongoing professional development
  • Dynamic work environment in a fast-paced industry
  • Opportunities to collaborate with senior professionals
Full Job Description
Risk Associate - Equity Volatility

We are searching for an experienced and dynamic professional to join our Equity Volatility risk team. In this position, they will be responsible for helping to drive the risk management framework for our equity derivatives portfolios in EMEA or New York, ensuring robust risk controls, and driving initiatives to manage and mitigate risks effectively. The ideal candidate will have a background in trading equity derivatives, risk management, or derivatives structuring with strong analytical skills, and work in a fast-paced, complex trading environment. The position will be based in London or New York.

Responsibilities
  • Support the application of the firm's risk management framework across equity derivatives products
  • Assist in monitoring P&L and help analyze and explain performance drivers
  • Help monitor VAR, stress, scenario, and other risk limits, and escalate breaches to senior team members when appropriate
  • Contribute to regular portfolio risk reporting and capital usage
  • Assist in identifying concentrations, vulnerabilities, and changing market or event risks across portfolios
  • Maintain a forward outlook on markets and event risks
  • Work with technology teams to improve and prototype risk tools and analytics
  • Help build and enhance models and tools used to monitor risk and explain P&L drivers across products


Qualifications
  • 4 years+ of experience in equity derivatives, structuring, trading, or risk
  • Exposure to products such as options, variance swaps, VIX derivatives, delta one, dividends, funding spread products, or other equity derivatives is helpful
  • Cross-asset exposure across rates, FX, or commodities is a plus
  • Strong interpersonal and communication skills, with the ability to work well with different stakeholders
  • Eagerness to learn from senior team members and develop product and risk expertise
  • Solid quantitative, analytical, and problem-solving skills
  • Programming ability in Python is required


The estimated base salary range for this position is $160,000 to $250,000, which is specific to New York and may change in the future. Millennium pays a total compensation package which includes a base salary, discretionary performance bonus, and a comprehensive benefits package. When finalizing an offer, we take into consideration an individual's experience level and the qualifications they bring to the role to formulate a competitive total compensation package.

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