Capital Markets Risk Solutions Specialist

Northern Trust Corporation

Base: $114,700 - $194,900 usd; bonus/equity: discr...
Hybrid
5+ years capital markets experience
Counterparty credit risk expertise
Stress testing framework design
Northern Trust Corporation is seeking a Capital Markets Risk Solutions Specialist who will focus on establishing and maintaining stress testing strategies for counterparty credit risk within their Risk Management organization. The ideal candidate should possess over five years of experience in financial services with a strong foundation in capital markets and risk analytics tools

Job Summary

  • The role is responsible for establishing and maintaining stress testing strategies for counterparty credit risk to ensure full compliance with supervisory guidance.
  • Candidates will leverage platforms like Aladdin and Bloomberg to analyze stressed exposures and translate market shocks into counterparty credit risk impacts.
  • Northern Trust offers a comprehensive benefits package including retirement benefits, health insurance, and a discretionary bonus program with potential equity components.

Matching Summary

Match Score: 85

Northern Trust Corporation is seeking a Capital Markets Risk Solutions Specialist who will focus on establishing and maintaining stress testing strategies for counterparty credit risk within their Risk Management organization. The ideal candidate should possess over five years of experience in financial services with a strong foundation in capital markets and risk analytics tools.

Salary

Base: $114,700 - $194,900 USD; Bonus/Equity: Discretionary bonus program may include equity component; Benefits: Comprehensive package including 401k, pension, medical, dental, vision, and paid time off

Skills & Requirements

Must-have

  • 5+ years Capital Markets experience
  • Counterparty Credit Risk expertise
  • Stress testing framework design
  • Aladdin BarraOne MSCI RiskManager tools
  • Market shock scenario interpretation

Nice-to-have

  • Senior stakeholder communication skills
  • Cross-functional collaboration ability
  • FRM or PRM certification preferred
  • Master's degree in Finance or related field
  • Consultative risk coverage approach

Key Requirements

  • Bachelor's degree required
  • 5+ years financial services experience
  • FRM/PRM certification preferred
  • Hands-on experience with risk analytics tools

Work Rights

Not specified

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