Market Risk Senior Manager_ Institutional Equity Division

Morgan Stanley

Risk analysis using stress testing
Var, backtesting
Financial products/markets understanding
Professionals in IED’s Risk Division assess and actively manage risk across their clients by analysing client portfolios and transactions, in order to anticipate any potential losses and ensure adequate funding

Job Summary

  • Professionals in IED’s Risk Division assess and actively manage risk across their clients by analysing client portfolios and transactions, in order to anticipate any potential losses and ensure adequate funding.
  • The Institutional Equities Division’s Counterparty Risk team supports the Equities, Listed Derivatives, OTC Clearing and Electronic Trading businesses.
  • 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

Professionals in IED’s Risk Division assess and actively manage risk across their clients by analysing client portfolios and transactions, in order to anticipate any potential losses and ensure adequate funding.

Skills & Requirements

Must-have

  • Risk Analysis using Stress Testing
  • VaR, Backtesting
  • Financial Products/Markets understanding
  • SQL/Excel/Power BI tools
  • Risk Reporting and Trend Analysis

Nice-to-have

  • Collaborative and creative thinkers
  • Supportive and inclusive environment
  • Passion and grit in work

Key Requirements

  • 7-9 years’ of relevant experience
  • FRM / CFA (at least Level 1 completed) or MBA Finance
  • Graduate degree in Mathematics or Engineering

Work Rights

Not specified

Tailored Resume

Cover Letter