• Market Risk Manager - Equity

    Mizuho Corporate Bank (New York, NY)
    …opportunity to join the risk management team leading the coverage for Equity Derivatives within Mizuho Americas - a fast growing business. The individual ... and other control functions to enable growth within the Equity Derivatives product offering at Mizuho Americas....pricing. + Work with Trading and Quants to ensure risk dynamics and risk representation of both… more
    Mizuho Corporate Bank (03/21/24)
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  • US Equity Derivatives , Business…

    SitusAMC (New York, NY)
    …consistently look to grow their platform and expand into new products. **About the Equity Derivatives Department:** The Equity Derivatives business ... business manager, based in New York to support the Equity Derivatives US business. The Business Management...provides the link between, Trading and IT, Product Control, Risk Control, Operations, Legal and Compliance, as well as… more
    SitusAMC (03/21/24)
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  • Associate, Equity Derivatives

    Scotiabank (New York, NY)
    …+ Structures, prices and understands the risk profile of structured notes and equity derivatives + Assists Sales & Traders to price Equity linked ... to price andunderstand risk forall popular structures + Knowledge of derivatives markets, including exotic equity and hybrid products + University degree… more
    Scotiabank (04/04/24)
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  • Equities Trade Derivatives Model Quant…

    Wells Fargo (New York, NY)
    Derivatives Quant modeling experience, or comparable buy-side quantitative experience in derivatives modeling (preferably in Equity Derivatives ). + ... and derivatives valuation (preferably as used in Equity Derivatives modeling). + Applied knowledge and...company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational,… more
    Wells Fargo (03/09/24)
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  • Market Risk Governance Specialist

    SMBC (New York, NY)
    …and Accounting partners, as well as leverage resources in the RMDAD to cover market risk across banking book, derivatives , and securities products. ... its employees. **Role Description** SMBC AD is transforming its market risk coverage into a more integrated...risk related matters across CUSO. CM is a derivatives trading company which was started in 1988 and… more
    SMBC (04/03/24)
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  • Quantitative ALM & Market Risk

    Charles Schwab (Lone Tree, CO)
    …brokered deposit notional investment allocation decisions, balance sheet modeling and analytics, market risk management, ALM derivatives , and net interest ... modeling, analytics, and optimization focusing on Market Risk Management with expert knowledge of fixed-income, derivatives... Management modeling framework focusing on Economic Value of Equity (EVE) sensitivity, Capital at Risk , Net… more
    Charles Schwab (04/14/24)
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  • Market Risk Strategic Initiatives…

    SMBC (New York, NY)
    …and Accounting partners, as well as leverage resources in the RMDAD to cover market risk across banking book, derivatives , and securities products. **Role ... report into the Team Lead of Strategic Initiatives in Market Risk . Coverage area for the role...with risk management frameworks for various valuation risk adjustments in derivatives (eg CVA, DVA,… more
    SMBC (04/12/24)
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  • Market Risk Analytics

    Mizuho Corporate Bank (New York, NY)
    Summary Quantitative market risk analytics specialist responsible for developing methodologies and managing analytics for risk models including value-at- ... and governance of historical time series data + Develop Market Risk Analytics platform + Identify ...our capabilities span investment and corporate banking, capital markets, equity and fixed income sales & trading, derivatives more
    Mizuho Corporate Bank (04/17/24)
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  • Executive Director: Model Developer, Market

    Santander US (New York, NY)
    Executive Director: Model Developer, Market Risk - Corporate & Investment Banking (CIB) New York, United States of America **Position Summary:** Model Developer ... inside of the Market Risk ...inside of the Market Risk Area reporting to the CIB ...will be a plus. + Knowledge in Leverage finance, equity swap derivatives will be a plus.… more
    Santander US (03/13/24)
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  • VP, e-trading - Market Risk

    Morgan Stanley (New York, NY)
    …is an equal opportunity employer committed to diversifying its workforce (M/F/Disability/Vet). **Job:** ** Market Risk * **Title:** *VP, e-trading - Market ... NY. The role will cover electronic trading across all asset classes including cash, derivatives , equity and fixed income products. The eTrading team within FRM… more
    Morgan Stanley (03/06/24)
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  • Counterparty Risk - Vice President

    SMBC (New York, NY)
    …related departments and groups. The department is organized into four functional groups - Credit Risk Group, Market Risk and Analytics Group, Model Risk ... **Role Description** MBC Capital Markets, Inc. (CM) is a derivatives trading company since 1988 based in New York...+ Minimum 7+ years of experience in counterparty credit risk or market risk or… more
    SMBC (03/19/24)
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  • Counterparty Credit Risk - Governance…

    SMBC (New York, NY)
    …related departments and groups. The department is organized into four functional groups - Credit Risk Group, Market Risk and Analytics Group, Model Risk ... **Role Description** SMBC Capital Markets, Inc. (CM) is a derivatives trading company since 1988 based in New York...+ Minimum 5+ years of experience in counterparty credit risk or market risk or… more
    SMBC (03/06/24)
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  • Equities Compliance and Operational Risk

    Bank of America (New York, NY)
    …principles + Strong oral and written communication skills + Knowledge of equities and equity derivatives market structures + Familiarity with laws, rules, ... Equities Compliance and Operational Risk Manager New York, New York **Job Description:**...and regulations applicable to equities and equity derivatives + Understanding of compliance program… more
    Bank of America (04/03/24)
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  • Model Validation, Associate/AVP ( Risk

    Mizuho Corporate Bank (New York, NY)
    …analysis; derivatives pricing theory across one or more asset classes (IR/FX/Credit/ Equity ), traded products and market /credit risk + Industrial ... Summary Mizuho America's Model Risk Management is the firm's second line of...our capabilities span investment and corporate banking, capital markets, equity and fixed income sales & trading, derivatives more
    Mizuho Corporate Bank (02/24/24)
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  • Credit Risk Analyst - Energy

    Scotiabank (Houston, TX)
    …institutional equity sales, trading and research, fixed income products, derivatives , energy, foreign exchange and precious & metals. We also cross-sell the ... Credit Risk Analyst - Energy **Requisition ID:** 196144 **Salary...our clients an important bridge to this key global market for trade and investment flows across the Americas… more
    Scotiabank (03/27/24)
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  • Quantitative Risk Analytics - Associate

    Mizuho Corporate Bank (New York, NY)
    Summary Quantitative market risk analytics specialist responsible for developing methodologies and managing analytics for risk models including value-at- ... counterparty exposure models preferred + Knowledge of pricing and risk models for financial derivatives + Strong...our capabilities span investment and corporate banking, capital markets, equity and fixed income sales & trading, derivatives more
    Mizuho Corporate Bank (04/17/24)
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  • Equity Finance Counsel

    CIBC (New York, NY)
    …legal services to equity finance businesses in the United States, including equity derivatives and prime services. The role will include providing legal and ... transactional advice in connection with various equity finance, derivatives , and other transactions; providing...and businesses; working with multiple stakeholders within the firm ( risk , tax, accounting, compliance, etc.) as well as with… more
    CIBC (04/02/24)
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  • Market Operations Intermediate Analyst

    Citigroup (Getzville, NY)
    Derivatives ) where Citi is consistently a dominant top 3 player in the market , Equity (Cash, Derivatives , Prime Brokerage, Futures, Listed Derivs, FXPB) ... **Organization Overview:** Citi Market Operations and Operations Technology is currently at...to create, explore and be adventurous whilst taking measured risk , adopting safe practices to protect the firm. Data… more
    Citigroup (04/11/24)
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  • Morgan Stanley Experienced Professionals Program…

    Morgan Stanley (New York, NY)
    …the Division and Firm to help clients successfully achieve their investment objectives. * Equity Derivatives :*Across global equity derivatives markets, ... Morgan Stanley's Institutional Equity Division (IED) believes that diversity and inclusion...backgrounds and views. IED, which provides sales, trading and market making services, is actively seeking highly motivated individuals… more
    Morgan Stanley (03/27/24)
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  • Risk Management Reporting Analyst

    Portland General Electric (Tualatin, OR)
    …and decision making. + Providing analytical for trading, portfolio management, origination, energy market risk , credit risk and finance; interpreting and ... basket options, look-back options, heat rate options, etc.), weather derivatives , unit contingency, etc. + Understand risk ... risk metrics models such as Value at Risk (VaR), Mark to Market , Gross Margin… more
    Portland General Electric (01/25/24)
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