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VP, Fixed Income Market Risk Manager - Credit Trading at Jefferies

Location: New York, NY, 10022, US

Job Summary:

Job Duties and Scopes:
- Analyze and communicate changes in Market Risk for credit trading desks.
- Engage with trading desks to understand strategies and risk profiles.
- Conduct deep dive analyses on products and trading strategies.
- Develop stress scenarios and frameworks for risk management.
- Collaborate with support functions (Middle Office, Operations, etc.).

Required Skills:
- Excellent analytical and quantitative abilities.
- Strong communication skills for complex information.
- Ability to multitask and prioritize in a trading environment.
- Team-oriented and a resourceful self-starter.
- Proficient in Microsoft Office, Bloomberg, Risk Metrics, Python, VBA, SQL.

Required Experiences:
- Bachelor’s or Master’s degree in relevant field.
- 5-7 years of Fixed Income market risk experience required.
- Experience in corporate credit analysis or credit risk management is a plus.

Job URLs: