Market Risk Manager - Rates & FX Derivatives

Mizuho Financial groupNew York, NY
289d$170,000 - $235,000Hybrid

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About The Position

As an experienced Risk Manager, you will be responsible for overseeing a multi-asset derivatives business: working with trading to understand and explain changes in VaR, stress tests, and limit usage; working with all functions to deploy new products and improve analytics around current product coverage.

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