• VP Market Risk Quantitative Analyst

    Santander US (New York, NY)
    …industry is highly desired. + Experience with pricing and risk models for fixed income trading products - derivative pricing - interest rates, credit, ... The ideal candidate will have strong technical expertise in fixed income quantitative finance, derivative pricing models...& Regulatory Compliance: + Collaborate with key stakeholders, including trading desks, IT, global and local risk more
    Santander US (07/28/25)
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  • Compliance Risk Management Senior Officer…

    JPMorgan Chase (New York, NY)
    …Wealth Management clients. In this role you will also focus on equities and fixed income trading Compliance matters. Job Responsibilities + Maintain policies ... Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center...standards which set forth the requirements for equities and fixed income trading regarding the… more
    JPMorgan Chase (06/21/25)
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  • Sr Analyst, Market Risk Analyst

    Raymond James Financial, Inc. (New York, NY)
    Risk team in monitoring, reporting, and analyzing risk exposures across trading businesses, including Fixed Income , Structured Products, and Equities. ... **Knowledge of** + Basic financial instruments and markets, including fixed income , equities, and derivatives. + Core market risk concepts such as… more
    Raymond James Financial, Inc. (08/08/25)
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  • Senior Quantitative Analyst, Valuation…

    TD Bank (New York, NY)
    …business and technical foundation within Capital markets, specifically working knowledge of Fixed Income , Interest rate derivatives, Credit, and FX products, as ... key skills: + 5+ years of relevant experience supporting and managing changes in Fixed Income , Interest rate derivatives, Credit, and FX systems and/or business… more
    TD Bank (08/08/25)
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  • Sr. Manager, Market Risk Specialist

    Raymond James Financial, Inc. (New York, NY)
    …oversight and reporting of market risk exposures across Fixed Income , Structured Products, and Equities trading businesses. This individual will support ... sensitivities. + Familiarity with financial instruments across asset classes, including fixed income , securitized products, equities, and derivatives. +… more
    Raymond James Financial, Inc. (08/08/25)
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  • Director, Investment Funds and Financial…

    Principal Financial Group (New York, NY)
    …asset management firm with asset experience, preferably in Equities and/or Fixed Income + Strong technical understanding of market risk , credit risk , ... practices for effective management of investment related risks in fixed income and equities. + Provide independent...at risk , earnings volatility, seed capital at risk , trading counterparty and business FX … more
    Principal Financial Group (07/24/25)
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  • Price and Credit Risk & Controls Senior…

    Citigroup (Getzville, NY)
    …controls as a consultant or internal change group + Knowledge of global markets trading products ( Fixed Income , Spread Products, Equity, Rates, FX, ... Risk . The team works closely with Global Markets Trading Businesses, In-Business Risk (IBR), Finance and 2LoD in setting standards and procedures, leading… more
    Citigroup (07/02/25)
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  • Risk Management - Structural Interest Rate…

    JPMorgan Chase (New York, NY)
    …(IRR) exposures for assigned lines of business and deliver insights on Net Interest Income (NII) at risk , economic value sensitivity (EVE), and convexity impacts ... and skills** + Mimimum 4 years of experience in Trading , Risk Management, Treasury or a Finance...Knowledge of standard financial concepts, including basic understanding of fixed - income securities and markets + Excellent oral… more
    JPMorgan Chase (07/12/25)
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  • Audit Manager, US Risk Management

    Scotiabank (New York, NY)
    …and equity financing, mergers & acquisitions, corporate banking, institutional equity sales, trading and research, fixed income products, derivatives, ... Audit Manager, US Risk Management **Requisition ID:** 231825 **Salary Range:** 90,000.00... reporting based on a detailed understanding of underlying trading strategies, products and processes. **What You'll Bring** +… more
    Scotiabank (07/24/25)
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  • RISK Implementation Specialist, Enterprise…

    Bloomberg (New York, NY)
    …years of experience in financial modelling of cross asset instruments, including fixed income , equities, FX, Commodities, structured products and OTC ... and mortgage cash flow engine, MARS enables front office, risk and collateral professionals to analyze their trading... risk and collateral professionals to analyze their trading and investment portfolios, manage and mitigate their exposure… more
    Bloomberg (07/23/25)
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