Phaxis · 6 days ago
Director of Credit & Market RIsk
Phaxis is seeking a Director of Credit & Market Risk to oversee margin requirements and risk exposures for Prime Brokerage and Portfolio Margin clients. The role involves daily monitoring, measurement of credit and market exposure, and ensuring compliance with risk limits and guidelines.
DeliveryHuman ResourcesStaffing Agency
Responsibilities
Assess margin requirements and stress loss of Prime Brokerage / Portfolio Margin clients
Daily monitoring of credit and market risk exposures businesses
Provide accurate and timely measurement of all relevant credit and market exposure
Recommend appropriate risk limits and ensure processes are in place
Review to ensure that the line of business activities fall within pre-established boundaries
Monitor global macro market environment and impact of market events on current portfolios
Monitor deposits at all central clearing counterparties (DTC, NSCC, OCC and FICC)
Quantify potential impact to CCP deposits based on potential new transactions
Investigation and reconciliation of client portfolios aligning mark-to-markets or yield curves
Daily engagement with key external counterparties and internal executive management
Contribute to the development of risk framework, guidelines, policy and procedures
Identify issues and escalate to management
Perform due diligence on all new portfolio margin / prime brokerage relationships
Monitor risk exposures against guidelines and proactively engage with the business
Qualification
Required
Assess margin requirements and stress loss of Prime Brokerage / Portfolio Margin clients
Daily monitoring of credit and market risk exposures businesses
Provide accurate and timely measurement of all relevant credit and market exposure
Recommend appropriate risk limits and ensure processes are in place
Review to ensure that the line of business activities fall within pre-established boundaries
Monitor global macro market environment and impact of market events on current portfolios
Monitor deposits at all central clearing counterparties (DTC, NSCC, OCC and FICC)
Quantify potential impact to CCP deposits based on potential new transactions
Investigation and reconciliation of client portfolios aligning mark-to-markets or yield curves
Daily engagement with key external counterparties and internal executive management
Contribute to the development of risk framework, guidelines, policy and procedures
Identify issues and escalate to management
Perform due diligence on all new portfolio margin / prime brokerage relationships
Monitor risk exposures against guidelines and proactively engage with the business