Associate, Risk/Policy Management jobs in United States
cer-icon
Apply on Employer Site
company-logo

E*TRADE from Morgan Stanley · 1 day ago

Associate, Risk/Policy Management

Morgan Stanley is a leading global financial services firm providing a wide range of investment banking and wealth management services. The Associate in Risk/Policy Management will monitor risk and limit utilization of the U.S. Interest Rates Business, participate in discussions regarding trading strategies, and create presentations on key risks for senior management.

BankingFinanceFinancial Services

Responsibilities

Monitor risk and limit utilization of the U.S. Interest Rates Business
Participate in discussion with the trading desk and front office regarding positioning, market developments, trading strategies, and risk representation of new trades
Utilize tools to monitor daily Profit and Loss (Pnl) in order to understand the impact of different exposures on the firm's monetary output
Monitor key risk metrics such as Interest rates, Value at Risk, and stress testing to understand the origin of losses
Perform deep dives on topical products and clients
Create presentations articulating key risks and portfolio changes to senior management in a timely fashion

Qualification

Advanced VBASQLEikonBloomberg TerminalTime series analysisBond mathStress testingRegulatory capital reportsValue at Risk (VaR)P&L attributionInterest Rates expertiseYield curve bootstrappingInterest rate volatilityFinancial Greeks

Required

Requires a Bachelor's in Economics, Finance, or a closely related field of study
Requires four (4) years of experience in the position offered or four (4) years as an Associate, Analyst, Risk Management or a closely related occupation
Requires four (4) years of experience with the following skills:
Developing Excel tools using advanced VBA for automation and analysis
Querying and managing large datasets with SQL
Utilizing Eikon for financial data extraction and insights
Leveraging Bloomberg Terminal for real-time data and analytics
Conducting time series analysis for trend identification and forecasting
Calculating and interpreting financial Greeks and risk sensitivities
Applying bond math for pricing and risk assessment of fixed income instruments
Performing stress testing under historical and hypothetical scenarios
Evaluating risks for regulatory capital reports including CCAR, and Basel Ill
Analyzing Value at Risk (VaR) and its drivers
Analyzing P&L attribution by risk factor
Demonstrating expertise in Interest Rates and FX markets
Utilizing yield curve bootstrapping for risk analysis
Analyzing interest rate volatility surfaces across tenors and strikes

Benefits

Commission earnings
Incentive compensation
Discretionary bonuses
Other short and long-term incentive packages
Other Morgan Stanley sponsored benefit programs

Company

E*TRADE from Morgan Stanley

twittertwittertwitter
company-logo
E*TRADE from Morgan Stanley is a pioneer in the online brokerage industry.

Funding

Current Stage
Public Company
Total Funding
unknown
2020-02-20Acquired
1996-08-16IPO

Leadership Team

leader-logo
Julia Miller
Director and Customer Marketing
linkedin
Company data provided by crunchbase