The CCR group is a centralized function responsible for identifying signs of credit deterioration in the trading product portfolio, measuring, monitoring, and reporting a variety of metrics associated with counterparty credit risk and escalating when exposures grow beyond established risk appetite
Job Summary
The CCR group is a centralized function responsible for identifying signs of credit deterioration in the trading product portfolio, measuring, monitoring, and reporting a variety of metrics associated with counterparty credit risk and escalating when exposures grow beyond established risk appetite.
In this role, you will be responsible for exposure monitoring of counterparty credit risk in securities financing transactions, OTC derivatives, and FX transactions, and contribute to processes identifying leading indicators of emerging risks.
We offer a competitive rewards package including a performance bonus, Employee Share Ownership Program, and Pension Plan Matching, Health Benefits from day one!
Matching Summary
The CCR group is a centralized function responsible for identifying signs of credit deterioration in the trading product portfolio, measuring, monitoring, and reporting a variety of metrics associated with counterparty credit risk and escalating when exposures grow beyond established risk appetite.
Skills & Requirements
Must-have
Counterparty credit risk
Derivatives and securities financing transactions
Market risk and/or credit risk
Quantitative and qualitative analysis
Risk mitigation strategies
Nice-to-have
Inclusive and high-performing culture
Industry best practices and regulatory expectations
Strong stakeholder relationships
Career development and progression
Key Requirements
3 years experience in market risk and/or credit risk