The Market Risk Analyst will provide market risk exposure oversight, establish and maintain best practices and governance policies, and monitor and report risks. The role requires a strong technical and quantitative aptitude, with experience in market risk analysis, risk modeling, and data analytics.
Requirements
- Master's degree or its equivalent in Financial Mathematics, Statistics, or related quantitative field
- 3 years of experience in Market Risk or any occupation in which hands-on financial industry experience and/or applied data analytics is gained
- Demonstrated knowledge of Foreign Exchange and Interest Rate Derivatives
- Strong quantitative background including experience in curve building and risk modelling
- Proven strong quantitative mindset and ability to take model ownership and improve on existing risk models
Benefits
- Retirement savings plan (401K) with company match
- Insurance coverage including basic life, medical, dental, vision, long-term disability, and other optional additional coverages
- Paid-time off including vacation, sick leave, short term disability, and family care responsibilities
- Employee Assistance Program
- Incentive compensation including eligibility for annual performance-based awards
- Eligibility for certain tax advantaged savings plans