Position: Advisory Services Senior, Market Risk
Company: Consulting Company
Location: New York
Job ID: 21308
RESPONSIBILITIES:
- Advise clients on a variety of business process and risk management services that help identify, assess, manage and measure the risk exposure in organizations
- Research emerging industry trends, regulatory guidance, and best practices
- Critically analyze the policies, procedures, people, processes, and systems used by financial institutions to identify, assess, measure, monitor and control significant risks
- Recommend modifications to client infrastructures to enhance the efficiency and effectiveness of business processes and risk management programs
- Design and implement quality, practical business approaches
- Assist with risk technology selection and implementation
QUALIFICATIONS:
- A bachelor's degree and approximately 2 years of related work experience
- Or a graduate degree and approximately 1-2 years of related work experience
- A degree in accounting, finance, economics or a related field; an MBA or master's degree (in finance, mathematics, etc.) a plus
- A minimum of 1+ years of relevant experience in banking/capital markets at a commercial bank with a well-developed credit risk management infrastructure
- Or comparable experience working as an advisor to financial services companies
- Strong written and verbal communication skills
- Team work and leadership skills
- Problem solving and solution development
- Project management experience a plus
- Industry Experience:
• risk management, front office, finance, middle office and/or back office activities within financial services organizations
• banking/capital markets Certified Public Accountant's with financial product valuation, control and accounting experience
• familiarity with Basel II requirements or Federal Reserve and The Office of the Comptroller of the Currency examination standards a plus
- Product Experience:
• valuation and/or transaction processing knowledge of fixed income, commodity, equity and foreign exchange cash and derivative products
• risk measurement methods and disciplines including value at risk, economic capital, stress testing and model validations
• understanding of capital markets trading functions and related control processes
• capital markets accounting knowledge a plus
• Sarbanes Oxley 404 process and control documentation and testing a plus
- Willingness and ability to travel approximately 20%-50%
North American Search Group - 5 months ago
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