Vice President, Risk / Policy Management

Morgan Stanley Bank, N.A.

New York, New York, United States
Base: $198,000 - $205,000 py; bonus/equity: incent...
Market risk monitoring
Value-at-risk (var) and greeks
Stress testing and scenario analysis
The Firm Risk Management division advises businesses on risk mitigation, develops risk analysis tools, and leads key regulatory initiatives

Job Summary

  • The Firm Risk Management division advises businesses on risk mitigation, develops risk analysis tools, and leads key regulatory initiatives.
  • Responsibilities include monitoring market risks, assessing the bank's balance sheet, and preparing reports for senior management and regulators.
  • Morgan Stanley offers comprehensive employee benefits and opportunities for career growth within a collaborative and diverse environment.

Matching Summary

The Firm Risk Management division advises businesses on risk mitigation, develops risk analysis tools, and leads key regulatory initiatives.

Salary

Base: $198,000 - $205,000 per year; Bonus/Equity: Incentive compensation, discretionary bonuses, short and long-term incentives; Benefits: Comprehensive employee benefits

Skills & Requirements

Must-have

  • Market risk monitoring
  • Value-at-Risk (VAR) and Greeks
  • Stress Testing and Scenario analysis
  • Balance sheet risk assessment
  • Interest rate risk analysis
  • SQL and VBA scripting
  • Team management

Nice-to-have

  • Collaborative environment
  • Continuous learning opportunities
  • Commitment to diversity and inclusion

Key Requirements

  • Bachelor's degree in relevant field
  • 5 years of experience in Risk Management or related roles
  • 5 years of experience with risk management tools and techniques
  • 5 years of experience presenting to Board level stakeholders
  • 5 years of experience with VBA and SQL programming

Work Rights

Not specified

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