Executive Director, Commodities and Fixed Income Risk Manager
$188.18k - $291.7kCanadian Imperial Bank of Commerce
Responsibilities Analyze market risk for US commodity, bonds, and rates trading activities. Establish risk frameworks and processes to control and monitor all market risks. Maintain continuous awareness of risk profiles and market developments. Facilitate effective dissemination of timely and accurate market risk information to senior management. Design, build, and enhance risk models to ensure market risks are appropriately captured. Prepare risk analyses for business requests related to new initiatives, financial products, and large trades. Qualifications Bachelor’s degree and at least 5 years of progressively responsible experience with market risk management in a financial industry setting. Minimum 3 years of experience in quantifying and analyzing market risks using methodologies and metrics such as value‑at‑risk, stress testing, and risk sensitivities. Minimum 3 years of experience with pricing and risks associated with linear and non‑linear trading products. Minimum 3 years of experience using Bloomberg terminal functionalities (including API). Minimum 3 years of experience with data analytics. Strong analytical thinking, decision making, long‑term planning, people management, and regulatory requirements knowledge. Compensation Annual salary range: $188,178.00 – $291,700.00. Location New York, NY. Part-time telecommuting permitted. EEO Statement CIBC is committed to creating an inclusive environment where all team members and clients feel like they belong. We seek applicants with a wide range of abilities and we provide an accessible candidate experience. If you need accommodation, please contact View email address on click.appcast.io. #J-18808-Ljbffr Canadian Imperial Bank of Commerce
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