Market Risk Fixed Income (risk Management) : Job Level - Vice President

Morgan Stanley UK

New York, United States
Base: $120,000 - $205,000; bonus/equity: not speci...
Hybrid
Market risk for credit products
Risk transparency and decision making
Develop risk methodologies and tools
The role will reside within the Firm Risk Management's Market Risk Department (MRD), where you will help manage and monitor market risk for traded credit products within the Micro team across the Fixed Income division

Job Summary

  • The role will reside within the Firm Risk Management's Market Risk Department (MRD), where you will help manage and monitor market risk for traded credit products within the Micro team across the Fixed Income division.
  • You will work closely with the desk & other control functions to provide risk transparency and help drive informed risk management decisions.
  • At Morgan Stanley, you’ll find an opportunity to work alongside the best and the brightest, in an environment where you are supported and empowered.

Matching Summary

The role will reside within the Firm Risk Management's Market Risk Department (MRD), where you will help manage and monitor market risk for traded credit products within the Micro team across the Fixed Income division.

Salary

Base: $120,000 - $205,000; Bonus/Equity: Not specified; Benefits: Not specified

Skills & Requirements

Must-have

  • Market risk for credit products
  • Risk transparency and decision making
  • Develop risk methodologies and tools
  • Stress-testing frameworks
  • Python & SQL proficiency

Nice-to-have

  • Structured credit/muni markets expertise
  • Independent challenge with Front Office
  • Collaborative relationship building
  • Deploy new technology/tools

Key Requirements

  • 5-8 years relevant market risk experience
  • Bachelor's degree (MBA preferred)
  • Knowledge of Credit/Structured Products markets preferred
  • Proficiency in Python & SQL

Work Rights

Not specified

Tailored Resume

Cover Letter