US Equity Risk Management Analyst
Crédit Agricole CIB New York, United StatesUS Equity Risk Management Analyst
Crédit Agricole CIB New York, United States
US Equity Risk Management Analyst
Job description
Business type
Types of Jobs - Risk Management / Control
Job title
US Equity Risk Management Analyst
Contract type
Permanent Contract
Job summary
Summary
Within the Market Risk Department, Equity Risk Management ensures the monitoring, analysis, control and reporting of results and market risks related to Equity market activities and Equity derivatives.
Position Overview
The US Equity Risk Management Analyst is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing) activities. The analyst controls and analyzes market risks and results, participates in the review of market limits and report limit breaches.
The analyst also contributes to valuation methodologies, calculation of adjustment reserves, and parameter control methodology.
Key Responsibilities
Primary Duties:
• Alerts the Head of Market Risk US on important events, market risk exposures or abnormal situations
• Analysis, monitoring and supervision of daily production of results explanations
• Analysis, monitoring and supervision of risks and notification of limit breaches
• Analysis and validation of new operations / one-offs
• Contribute / Participate material and presentations for the CACIB US and CUSO management through a weekly dashboard, at the US Market Risk Committee and the CUSO Market Risk Bureau.
• Definition and evolution of market risk measurement methodologies and reserves/adjustments specific to products handled within GRI Equity and/or ES scope
• Annual review of limits
Secondary Duties:
• Production and analysis of market risks
• Calculation of reserves for GRI Equity / ES scope
• Semi-annual and annual business activity reviews
• Participation in implementing regulatory changes (FRTB...)
• Responding to regulator requests (AQR, EBA Stress, QIS, FED, NYDFS etc...)
• Improvement and implementation of risk analysis and monitoring tools
• Assist the MAM team in maintaining a robust risk and valuation reporting framework
Job Specifics
• Work in open space. On-call duty possible on holidays
Key Internal Contacts
Local/Regional MAM, Local Market Risk Management, RPC and Front Office, Regional Management, Internal Audit, Compliance
Key External Contacts
External audit
Salary Range: $150k-$180k
Supplementary Information
Technical Skills
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Education Essential:
Level of minimal experience
6-10 years
Required skills
Languages
Proficiency in English (both written and verbal)
Business type
Types of Jobs - Risk Management / Control
Job title
US Equity Risk Management Analyst
Contract type
Permanent Contract
Job summary
Summary
Within the Market Risk Department, Equity Risk Management ensures the monitoring, analysis, control and reporting of results and market risks related to Equity market activities and Equity derivatives.
Position Overview
The US Equity Risk Management Analyst is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing) activities. The analyst controls and analyzes market risks and results, participates in the review of market limits and report limit breaches.
The analyst also contributes to valuation methodologies, calculation of adjustment reserves, and parameter control methodology.
Key Responsibilities
Primary Duties:
• Alerts the Head of Market Risk US on important events, market risk exposures or abnormal situations
• Analysis, monitoring and supervision of daily production of results explanations
• Analysis, monitoring and supervision of risks and notification of limit breaches
• Analysis and validation of new operations / one-offs
• Contribute / Participate material and presentations for the CACIB US and CUSO management through a weekly dashboard, at the US Market Risk Committee and the CUSO Market Risk Bureau.
• Definition and evolution of market risk measurement methodologies and reserves/adjustments specific to products handled within GRI Equity and/or ES scope
• Annual review of limits
Secondary Duties:
• Production and analysis of market risks
• Calculation of reserves for GRI Equity / ES scope
• Semi-annual and annual business activity reviews
• Participation in implementing regulatory changes (FRTB...)
• Responding to regulator requests (AQR, EBA Stress, QIS, FED, NYDFS etc...)
• Improvement and implementation of risk analysis and monitoring tools
• Assist the MAM team in maintaining a robust risk and valuation reporting framework
Job Specifics
• Work in open space. On-call duty possible on holidays
Key Internal Contacts
Local/Regional MAM, Local Market Risk Management, RPC and Front Office, Regional Management, Internal Audit, Compliance
Key External Contacts
External audit
Salary Range: $150k-$180k
Supplementary Information
Technical Skills
- Experience in market risk control (Risk Management, Activity Monitoring)
- Good knowledge of equity derivative products
- Good IT skills (VBA programming, Excel, Access, SQL)
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Education Essential:
- Master's degree (BAC +5)
- Degree preferably in Risk Management, Finance, Quantitative Finance, Mathematics or Statistics
Level of minimal experience
6-10 years
Required skills
- Ability to communicate with ease and clarity
- Analytical and synthesis skills
- Rigor and organizational skills
- Results-oriented and priority setting
- Autonomy
- Relationship/Commercial skills
- Ability to cooperate/Transversality
- Ability to lead and structure team activities
Languages
Proficiency in English (both written and verbal)
Job ID 114830
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