I am working with one of the nation's most prestigious investment banks to build out their growing Counterparty Credit teams. This candidate would specifically focus on credit risk management for their Hedge Fund/Global Markets counterparties.
In this role you will evaluate credit risk aspects of prime brokerage, synthetic equity swap, futures and clearing portfolios for Global Market clients, review and approve risk taking, negotiate credit and margin terms, and assess the credit worthiness of these counterparts.
The ideal candidate has:
- A deep understanding of financial markets
- Python or other technical skill sets for risk analysis
- Strong client relationship management, strong communication, and willingness to get in the weeds and act as a SME
- 3-4 years in the commercial credit space
Bonuses are being paid out! Relocation Assistance is being provided.