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Credit Exposure Management

$150k - $185k

Nomura America Securities LLC

Job Title: VP, Credit Exposure Management Location: NY Corporate Title: Vice President The pay range for this position at commencement of employment is expected to be between $150,000-$185,000 per year* Department Overview: Nomura's Risk departmentplays a crucial role in identifying, assessing, and mitigating risks across our business. We strive to protect the firm's assets, reputation, and financial stability by implementing robust risk management practices. Join our team and contribute to our proactive approach in managing risks, allowing us to make informed decisions and thrive in an ever-changing market environment. Key Responsibilities: Nomura's Credit Exposure Management Risk team is responsible for the risk management and mitigation of contingentcounterparty risks arising from the bank's financing and derivative portfolios.The team manages collateral and contingent risk for several businesses, including Prime Services and Repo Financing.The team also provides risk and margin analysis for OTC derivatives trading with Hedge Funds and other counterparties.While the function sits within the Credit Risk department, the CEM team works very closely with Front Office and other Risk teams to ensure that the bank's exposures to its counterparties are within firm risk appetite, and takes action to collateralize these exposures where they are not. The primary focus will be the Prime Brokerage and Financing Businesses, with extended responsibilitiessupporting risk and margin analysis for fixed income derivatives trading. Working with Prime Brokerage business & Credit Risk to analyze & approve client margin rulesand setting risk limits; Monitoring Prime Brokerage client portfolios vs. key metrics and taking resolution action whenrisk is outside firm appetite; Client pre-trade risk analysis of financing and OTC trades to support approval decisions; Quantitative counterparty risk exposure analysis for Financing & derivatives trading, includingVaR Margin and regulatory bilateral margin rules; Present views of contingent risk to Credit Risk, Front Office and in various management forums Aid development of globally consistent analytics & reporting standards; Key Objectives Critical to Success Form an understanding of existing Nomura risk policies, methodologies and systems; give inputon potential improvements and business development; Build a network of contacts across risk management, Global Markets and support functions; Demonstrate flexibility to operate across separate business lines within the Financing Risk space Proactive, problem solving Required Qualifications: At least five years of experience in Prime Brokerage and/or Equities coverage in a Market Risk role Broad knowledge of a range of asset classes and their derivatives and in depth knowledge ofequities Excellent Presentation and communication skills Appreciation of client business and motivations MS Excel to expert level Good general knowledge & understanding of current macro-economictrends Ability to work independently, motivated to learn, and drive for success Previous experience in fixed income derivatives & cash products Further Financial Education e.g. CFA, MBA, etc. #J-18808-Ljbffr Nomura

Vacancy posted 12 hours ago
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