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Senior Portfolio Risk Manager - Global Analytics

Nomura Holdings

Nomura Holdings, Inc. seeks an experienced portfolio risk manager to develop a comprehensive view of the firm's portfolio. With 8+ years in risk management, you will leverage analytics to optimize portfolio performance and present findings to senior management. The role demands strong experience in both loans and derivatives, exceptional analytical capabilities, and proficiency in Python and Power BI. Competitive compensation includes salary and benefits, tailored to individual qualifications and market factors. #J-18808-Ljbffr Nomura Holdings

Vacancy posted 4 days ago
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