KeyBank · 1 day ago
Market Risk Manager – Fixed Income Oversight
KeyBank is a financial institution that is seeking a Market Risk Manager for their Trading Risk Oversight team. The role involves overseeing trading activities, performing quantitative and qualitative analysis, and providing expertise on market risks, particularly within the Fixed Income sector.
Banking
Responsibilities
Perform oversight of the Fixed Income trading business
Perform research and analysis to stay on top of market developments
Support the line of business with deep subject matter knowledge relative to market risk and market risk strategies
Support Market Risk policies and processes
Identify and quantify market risks and emerging risks
Provide in-depth analytical and quantitative decision support
Understand the conceptual framework and assumptions of models
Understand and support how models are used in the business decision making process
Assess and validate model performance
Develop and maintain effective partnership with LOB management and traders
Use industry knowledge and experience to identify opportunities, adopt best practices, improve existing processes, and provide expert advice on various business and analytic issues
Qualification
Required
Bachelor's degree in finance, economics, mathematics, statistics or other quantitative field
3-7 years of trading, banking and risk management experience
Advanced knowledge of Fixed Income securities
Strong analytical, quantitative, and communication skills
Ability to perform multiple tasks simultaneously to meet strict deadlines
Ability to work independently and in a team environment in collaboration with other team members
Microsoft Office tools
Benefits
Eligibility for incentive compensation which may include production, commission, and/or discretionary incentives
Company
KeyBank
At KeyBank we’ve made a promise to our clients that they will always have a champion in us.
Funding
Current Stage
Late StageLeadership Team
Recent News
2023-08-28
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