Equities Market Risk Manager
$150k - $185kNomura Holdings, Inc.
Select how often (in days) to receive an alert: The pay range for this position at commencement of employment is expected to be between $150,000 and $185,000/year (see below footnote for additional compensation and benefits information). Company overview Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit Department Overview Nomura's Risk department plays 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. Role Description The individual will be working with other risk managers within the team covering the US Equities Desks with the main focus in Flow and Structured Derivatives. The role will include stress analysis, review of risk positions, discussing risk exposures and concerns with senior risk managers and traders, and escalating risk issues to senior risk managers as needed. Key Responsibilities Understanding the market and daily review of risk exposures. Developing and maintaining risk reports and analytic tools. Work closely with front office to assess risk and business strategy, as well as other corporate functions such as MVG, IPV, IT, and Ops. Work closely with Credit Risk and review committee/transaction approvals. Daily recap of markets, P&L and Risk. Skills, experience, qualifications and knowledge required 5-10 years of experience in trading or market risk in Equities with a strong understanding in Global Capital Market. Strong analytic background and strong understanding in Equity Derivatives, particularly around greeks, stress testing, VaR, Basel III, and FRTB. Experience in Corporate Derivatives and Equity Exotics Options (barriers, autocallables, range accruals, etc) and knowledge of various vol pricing model a plus. Very strong communication skills (both written and verbal) as the candidate will be working with a large number of groups within Risk and outside of Risk. Experience in QIS strategy as well as Private Equity a plus. Programming skills are not necessary but strongly preferred. Explore Insights & Vision: Identify the underlying causes of problems faced by you or your team and define a clear vision and direction for the future. Making Strategic Decisions : Evaluate all the options for resolving the problems and effectively prioritize actions or recommendations. Inspire Entrepreneurship in People : Inspire team members through effective communication of ideas and motivate them to actively enhance productivity. Elevate Organizational Capability : Engage proactively in professional development and enhance team productivity through the promotion of knowledge sharing. Inclusion : Foster a culture of inclusion and psychological safety in the workplace and cultivate a "Risk Culture" (Challenge, Escalate and Respect). * base pay offered may vary depending on multiple individualized factors, including market location, corporate and functional title and duties, job-related knowledge and advanced degrees, skills, and experience. The total compensation package for this position may also include other elements, including a sign‑on bonus, restricted stock units, and discretionary awards in addition to a full range of medical, financial, and/or other benefits (including 401(k) eligibility and various paid time off benefits, such as vacation, sick time, and parental leave), dependent on the position offered. Details of participation in these benefit plans will be provided if an employee receives an offer of employment. If hired in the U.S., employee will be in an “at‑will position” and the Company reserves the right to modify base salary (as well as any other discretionary payment or compensation program) at any time, including for reasons related to individual performance, Company or individual department/team performance, and market factors. #J-18808-Ljbffr Nomura Holdings, Inc.
$165k - $185k
...missions Join a high-impact team within our Market Risk Department, providing critical, independent... ...Risk Americas, this group is pivotal in managing risk across diverse asset classes including Rates, Credit, Equity, Securities Financing, FX, and Commodities. As...SuggestedWork at officeLocal area$95k - $180k
...Job Info Job Identification 207478 Job Category Risk Management Locations 570 Washington Blvd, Jersey City, NJ, 07310, US 1315 S Belt... ...DTCC, we are at the forefront of innovation in the financial markets. We're committed to helping our employees grow and succeed....SuggestedFull timeWork experience placementRemote workFlexible hoursShift work- ...Talen Energy is seeking a Market Risk Manager responsible for daily market risk and P&L reporting, risk limit monitoring, portfolio analytics, and cross‑functional communication to ensure transparent performance and risk management. This role delivers timely executive‑...SuggestedDay shift
$165k - $235k
## Market Risk Manager - Equity DerivativesApplylocations: New York, NY (1271 AOA/6th Ave)time type: Full timeposted on: Posted Yesterdayjob requisition id: R7122**Summary:**Risk manager responsible for supervising Market Risk for Equities. Key tasks include interpretation...SuggestedWork at officeLocal areaRemote work$125k - $203k
Job Title Head of Portfolio Management US and Asset Class Corporate Title Vice President Location New York Overview The Enterprise and Treasury Risk Management (ETRM) function provides a cross-risk view of the Bank’s risk profile across risk types, businesses and geographies...SuggestedFull timeWork at officeWork from home$150k - $190k
What You’ll Be Doing Capital Markets Risk Management (CMRM) provides second line of defense oversight of market risk and trading credit risk stemming from the activities of CIBC’s Capital Markets, Treasury, and other subsidiaries. We partner with strategic business units...Flexible hours$165k - $180k
Overview MAJOR JAPANESE TRUST BANK SEEKS MARKET RISK MANAGER $165,000-$180,000. HYBRID 2 Days onsite in MIDTOWN MANHATTAN. ONLY CANDIDATES in TRI STATE AREA WILL BE CONSIDERED Directs staff, develops strategy and controls execution of the Treasury Administration’s function...Temporary workWork at office- A leading global financial services firm is seeking a dedicated individual for a key role in New York, focusing on market risk assessment and management. Responsibilities include analyzing portfolio transactions, collaborating closely with traders and senior management,...
- ...seeking a seasoned SVP/Director for their Equities Trading business located in New York,... ...team while being the Head of Equities Market Risk. A minimum of 7 years in Market Risk or... ...working closely with traders and senior management to analyze risk metrics and ensure...
- ...Identification 210764642 Job Category Market Risk Business Unit Commercial & Investment... ...Shift Day Job Description As part of Risk Management and Compliance, you are at the center... ...Risk Coverage Lead - Director in Equities Market Risk Coverage , you will help identify...Full timeShift work
$160k - $200k
Job title: Market Risk Manager - Securitized Products Corporate Title: Vice President Department: Market Risk Management Location: New York Pay range at commencement: $160,000 to $200,000 per year. *see below footnote for additional compensation and benefits information...Relocation package- ...Vice President, Market Risk Manager - Equities About the Company A top-tier investment bank adding a VP Market Risk Manager to its U.S. Equities team. Industry Investment Banking Type Public Company About the Role The Company is seeking a VP, Market...
$125k - $222.5k
Job Description: Job Title Market Risk Manager Corporate Title Vice President Location New York, NY Overview The position is within Market... ...book risk for a breadth of primary and secondary credit and equity businesses including Credit/Equity Trading, Origination,...Work at officeWork from home$125k - $222.5k
Job Description: Job Title Market Risk Manager Energy Corporate Title Vice President Location New York, NY Overview You will join Deutsche Bank’s Market Risk Management team as a Market Risk Manager covering US Energy trading activities. In this role, you will work collaboratively...Work at officeWork from home$130k - $188k
...s global futures business, helping shape client exposure management and the firm’s risk framework while working closely with senior leaders in New... ...30 years of experience operating across all major global markets, providing nonstop, 24-hour futures coverage. It’s an...Permanent employmentFull timeTemporary workWork from homeFlexible hours$165k - $275k
Overview Executive Director - Market Risk Manager, Head of XVA Coverage, US Firm Risk Management - Market Risk Department Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient...Temporary work$100k - $140k
Commodities Market Risk Manager - Associate/Analyst Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic...Temporary work3 days per week- Invesco Real Estate in New York is seeking a Risk Manager to monitor portfolio risk and collaborate with investment teams. The role requires a strong understanding of risk models and investment strategies along with 7+ years of investment management experience. Key responsibilities...Flexible hours
$96k - $172k
...for executing second line of defense compliance and operational risk oversight for a Front Line Unit, Control Function, and/or Third... ...the Global Compliance Enterprise Policy, the Operational Risk Management Enterprise Policy (collectively “the Policies”), the Compliance...Shift workDay shift$93k - $189k
...for a key role in the Platform Sponsorship Program focused on risk oversight for sponsored entities. The position entails collaborating... ...with various risk partners and ensuring governance and risk management policies are implemented. Successful candidates will have...Flexible hours$100k - $150k
...available position is an Associate level position on the Non-Market Risk team within the Institutional Equity Division (IED) Business Control Unit. IED provides... ...to help service our clients. Non-Market Risk Managers within IED focus on supporting the Division to manage...Temporary work$200k - $250k
...Harbor” or “SHIP”) is a specialist emerging markets debt manager with a long-standing track record... ...managers, research analysts, trading, and risk management to support disciplined... ...abilities, geographic location, internal equity, and alignment with market data. This position...Work at officeLocal areaRelocation package$100k - $120k
Jefferies Financial Group is seeking an Equity Research Market Data Services Associate to manage vendor relationships, ensuring high-quality data services while optimizing costs. Key responsibilities include vendor selection and evaluation, contract negotiation, and compliance...Contract work- ...Vice President, Securitized Products Market Risk Manager About the Company A top-tier investment bank is looking to hire a VP-level candidate. Industry Banking Type Public Company About the Role The Company is seeking a VP, Securitized Products...
- ...Overview Equity Long Short Risk Manager sought on behalf of a US-based multi-strategy hedge fund management firm focused on global investment... ...Arbitrage, Event-Driven Investing, Equity Long/Short & Capital Markets Trading, and Global Quantitative Trading. Key...
- A major financial institution is seeking an Acquiring Sponsorship Manager to oversee operational and regulatory risk strategies. The role involves evaluating the effectiveness of controls, ensuring adherence to policies, and collaborating with various business segments...Remote job
- Ernst & Young Oman is looking for an Equity Capital Markets Manager in New York. This role involves helping clients with capital-raising transactions and advising on strategic financial solutions. Successful candidates will have a Bachelor's degree in finance or a related...Flexible hours
$98.96k - $148.44k
Citibank (Switzerland) AG is seeking a Paid Search Risk & Controls Manager in New York, NY to own the controls framework for paid search. This... ...of experience in risk management, compliance, and digital marketing. Expected to establish governance guardrails for automated...$140k - $175k
...beyond. It starts with our people, which is why we need a Marketing & Business Development Manager to join our Marketing and Business Development team to... ...sets, training, licensure and certifications, internal equity, market data, and other job‑related factors permitted...Full timeLocal area$179.09k
...wherever you want it to go. Join EY and help to build a better working world. EY Capital Advisors - Investment Banking - Equity Capital Markets - Manager (Multiple Positions) - 1716910, Ernst & Young U.S. LLP, New York, NY. Help clients prepare for and execute critical...Full timeWork experience placementMonday to Friday
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