We are seeking a highly analytical Vice President to join our Fixed Income Risk Management team, with a primary focus on single name issuer risk and credit trading businesses. The role covers trading desks including Investment Grade, High Yield, Leveraged Loans, Distressed/Special Situations, and Credit ETFs/Algo trading. This is a high‑visibility, front‑office‑embedded position, partnering closely with senior traders and risk leadership to analyze, explain, and challenge risk‑taking at issuer and portfolio level, ensuring alignment with the firm’s risk appetite. The ideal candidate brings deep experience in single‑name risk analysis, including fundamental credit assessment and underwriting, strong familiarity with traded credit products, and the analytical judgment to identify and escalate material risks. Fluency in market drivers, capital structure dynamics, and issuer‑specific risk is essential.
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Job Type
Full-time
Career Level
Mid Level