Market Risk Manager

Groupe BPCE · New York, États-Unis

Poste et missionsJoin a high-impact team within our Market Risk Department, providing critical, independent oversight across the Americas Platform. Led by the Head of Market Risk Americas, this group is pivotal in managing risk across diverse asset classes including Rates, Credit, Equity, Securities Financing, FX, and Commodities. As a VP...


Poste et missions


Join a high-impact team within our Market Risk Department, providing critical, independent oversight across the Americas Platform. Led by the Head of Market Risk Americas, this group is pivotal in managing risk across diverse asset classes including Rates, Credit, Equity, Securities Financing, FX, and Commodities. As a VP level Market Risk Manager, you will play a central role in safeguarding two key business lines: Rates/FX and Credit Trading. This is a unique opportunity to leverage your expertise in identifying, analyzing, and strategically managing market risk exposures, acting as a trusted advisor and the vital second line of defense to our business partners.

 

What You’ll Do (Essential Duties and Responsibilities):

 

What You’ll Bring (Qualifications):

 

The salary range for this vp-level position will be between $165,000 - $185,000. Natixis is required by law to include a reasonable estimate of the compensation range for this role. Actual base salary will vary and will be based on several factors including, but not limited to, relevant experience, education, skills set, applicable licensure and certifications, and other business and organizational needs. Base salary is only one component of our total rewards package. Natixis also offers a generous benefits package, and you may be eligible for a discretionary incentive award depending on company and individual performance.

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