This is a front office (first line of defense) risk manager role that involves regular interaction with Sales & Trading, COOs, Risk Management divisions, Operations
Job Summary
This is a front office (first line of defense) risk manager role that involves regular interaction with Sales & Trading, COOs, Risk Management divisions, Operations.
The person will have the chance to strengthen expertise on Fixed Income products and market, as well us understanding of Global Markets business practices.
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services.
Matching Summary
This is a front office (first line of defense) risk manager role that involves regular interaction with Sales & Trading, COOs, Risk Management divisions, Operations.
Skills & Requirements
Must-have
Fixed Income products expertise
Initial Margin Calculation
Ad Hoc risk analysis
daily stress loss scenarios
risk models research
Nice-to-have
strong team ethics
creative thinkers
passion and grit
Key Requirements
Master's degree in financial engineering
Prior experience in Structuring, Strat/Quant, XVA or Market Risk/Counterparty Risk
Expert knowledge of Fixed Income products
Experience building models for trading and risk management