There are still lots of open positions. Let's find the one that's right for you.
The Financial Risk and Governance (FR&G) team is responsible for identifying, measuring, monitoring, and controlling market, liquidity, and stress testing risks related to clearing and settlement processes. FR&G ensures adherence to rigorous organizational and regulatory standards, working closely with Quantitative Risk Management and Counterparty Credit Risk teams to maintain a comprehensive financial risk management framework. As part of the Fixed Income Clearing Corporation (FICC), the Market Risk Manager will oversee daily margin calculations, manage market and liquidity risk exposures, lead risk system enhancements, and ensure compliance with risk policies. This role requires expertise in margining methodologies, financial markets, and client risk profiles, with a strong focus on identifying, analyzing, and mitigating risks.