Director, Fixed Income Market Risk & Analytics
Cantor Fitzgerald
Cantor Fitzgerald is seeking a Director, Market Risk Manager for its New York office. The ideal candidate will have over 10 years of experience in market risk management, specializing in fixed income. Responsibilities include monitoring risk exposures and developing effective risk strategies in partnership with traders. The role demands expertise in SQL and risk analysis for various financial products, especially structured ones. The successful candidate will join a dynamic team and contribute to improving risk management frameworks, benefiting from a competitive salary and benefits package. #J-18808-Ljbffr Cantor Fitzgerald
- ...advice and assistance to business, Credit, Risk and Compliance partners concerning legal... ...FIEQ businesses. Advising on new markets, new product and service development, and... ...or large financial institution covering fixed income and equity sales and trading activities...RiskContract workFlexible hours
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...CIBC.comWhat You’ll Be Doing:Capital Markets Risk Management (CMRM) provides second line... ...market risk manager to oversee CIBC’s fixed income trading activities in the US which includes... ...ideas and applying advanced analytical techniques. Success in this role requires...RiskFull timeFlexible hours$170k - $190k
...Officer / Business Manager – Fixed Income & Currencies – Energy Trading... ...Foreign Exchange, Global Emerging Markets and Credit Trading. The FIC... ...as well as financial risk / non-financial risk domains.... ...improvement initiatives. Utilize analytical tools and soft skills to problem...RiskFull timeWork from home$150k - $175k
Job Description We are seeking a Vice President to manage market risk across our fixed income portfolio. As a key member of our Market Risk team, you... .... Prepare and present clear market risk reports and analytics to senior management and risk committees. Ensure compliance...RiskTemporary work- Technical Product Manager - Fixed Income Technology Job Req Id: 2698204... ...advanced AI to helping shape global markets, we build systems that matter... ...team effectiveness. Risk & Compliance Oversight - Proactively... ...team environment Strong analytical and problem-solving skills...RiskFull timeCasual workWork from home
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...legal, regulatory and franchise risk. This is a Vice President... ...Investment Banking and Global Capital Markets. The team provides timely... ...coverage to the Equity and Fixed Income Research business and... ...managers and supervisorsStrong analytical skills, well organized, energetic...RiskTemporary work$188.18k - $291.7k
...visit CIBC.comWhat you'll be doing: CIBC World Markets Corp. seeks an Executive Director, Commodities and Fixed Income Risk Manager to analyze market risk for US... ...terminals; and 3 years of experience with data analytics. Part-time telecommuting permitted.Job location...RiskFull timePart timeRemote work- ...seeking an Associate to join the Global Risk Management team within Goldman Sachs Asset... ...a wide range of assets classes, global markets and strategies. The team is responsible... ...monitoring of the risks associated with GSAM Fixed Income funds across different investment...Risk
- ...Sachs Group in New York seeks an Associate to join the Global Risk Management team within Asset Management. The role involves monitoring... ...a degree in Finance or related fields, a minimum of 3 years in Fixed Income investment risk, and strong quantitative and programming skills...Risk
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Goldman Sachs is seeking an Associate for its Global Risk Management team in New York. This role involves monitoring risks for Fixed Income funds, implementing stress tests, and collaborating with portfolio managers. Candidates should possess a strong background in finance...Risk$175k - $250k
Quantitative Developer - Fixed Income RAD Millennium is a global, diversified... ...collaboration, disciplined risk management and continuous... ...development of the next generation of analytical and trading capabilities. The... ...that combine internal and market data sources into custom...RiskFlexible hours- Executive Director, Commodities and Fixed Income Risk Manager The Executive Director, Commodities and Fixed Income... ...CIBC is responsible for analyzing market risk related to US trading... ...Bloomberg functionalities and data analytics is also essential. CIBC World Markets...RiskPart timeRemote work
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- Canadian Imperial Bank of Commerce in New York seeks a Director of Fixed Income Market Risk to oversee US trading activities including Treasuries and... ...control, while supporting new initiatives and advanced analytics in a fast-paced environment. The role requires 3+ years...Risk
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...offices in 43 countries.As a market leader, the talent and passion... ....Department Profile:The Fixed Income Division (“FID”) sits within... ...FID assess and actively manage risk, trade securities, and structure... ...individual assignments;Strong analytical and problem-solving skills;...RiskContract workTemporary workWorldwide$150k - $200k
...than 1,200 offices in 43 countries.As a market leader, the talent and passion of our people... ...of our culture.Department ProfileThe Fixed Income Division is comprised of Interest Rate... ...the Division assess and actively manages risk, trade securities, and structure as well...RiskFull timeTemporary workWorldwide$135k - $202.5k
...team as a Vice President to lead audit coverage of valuation risk across the Fixed Income business.The Internal Audit Division (IAD) drives... ...standardsProactively connect metrics and other information across valuation, market risk, models, and P&L to inform perspectives on valuation...RiskTemporary workWork at office$185k - $195k
Senior Investment Risk Manager - Fixed Income | NYC | Hybrid A leading global investment firm is looking... ...investment risk, fixed income risk, market risk, quantitative analysis, or a... ...fixed income Strong quantitative and analytical skills with the ability to interpret...Risk3 days per week$160k - $250k
...offices in 43 countries.As a market leader, the talent and passion... ....Department ProfileThe Fixed Income Division is comprised of Interest... ...Division assess and actively manage risk, trade securities, and... ...Stanley is seeking an Executive Director or Vice President in New York...RiskTemporary workWorldwide$214.8k - $252.7k
...operational performance supporting the Fixed Income, Currencies, and Commodities (FICC) business... ...and evolution of U.S. Bank's Capital Markets franchise.The individual in this role serves... ...client experiences, strengthens risk management capabilities, and modernizes...RiskFull timeWork experience placementLocal area$175k - $250k
Portfolio Manager Engagement - Fixed Income TechnologyAbout... ...to collaboration, disciplined risk management and continuous learning... ...development of the next generation of analytical and trading capabilities. The... ...vendors.Solid financial markets experience, including exposure...RiskWork at officeFlexible hours$140k - $180k
...specializing in and possessing broad knowledge in Fixed Income, Commodities, Options and Futures... ...units to manage their regulatory risk.Key AccountabilitiesShareholderConsistently... ...Securities offers a wide range of capital markets products and services to corporate,...RiskFull timeLocal areaWork from homeFlexible hours$160k - $250k
Business Unit Control - Fixed Income FinancingAbout MillenniumMillennium is a global, diversified alternative investment firm, founded in 1... ...backing of a global network committed to collaboration, disciplined risk management and continuous learning. With opportunities to...RiskWork at officeNight shift- Taylor Root is seeking a Financial Markets Risk Manager Lead to partner with senior leadership and investment teams to identify, analyze, monitor, and mitigate risks across fixed income, structured credit, private credit, and equity portfolios. The successful candidate...Risk
$135k - $202.5k
...team as a Vice President to lead audit coverage of valuation risk across the Fixed Income business. The Internal Audit Division (IAD) drives... ...Proactively connect metrics and other information across valuation, market risk, models, and P&L to inform perspectives on valuation...RiskFull timeTemporary workWork at office
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