A major financial firm in NY is looking for a Risk Management process & methodologies expert to evaluate how effectively external financial institutions manage risks.
Responsibilities will focus on assessing Market, Credit & Operational Risk Management practices, across all investment/trading activities, of Hedge Funds, Investment Banks, Commercial Banks, Broker-Dealers, and Asset Managers. Applicants should have 5+ yrs exp, in risk management at a large financial institution, regulatory agency or consulting firm with particular expertise in evaluating hedge funds risks practices. The Candidate must know structured products and derivatives; have strong analytical and quantitative skills; and be familiar with credit risk and economic capital models. Advanced degree or MBA preferred.
Refer to Job#16562-EFC and email MS Word attached resume to Jim Geiger, jeg@analyticrecruiting.com or register online at www.analyticrecruiting.com choosing Jim Geiger as your contact recruiter.