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Front Office Risk Manager - VP/ED

Nomura International
Manhattan, NY Full Time
POSTED ON 8/25/2026
AVAILABLE BEFORE 9/22/2026

The pay range for this position at commencement of employment is expected to be between $225,000 and $260,000 per annum* (see below footnote for additional compensation and benefits information). 


Company overview


Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit www.nomura.com
 

Aon's Benefit Index, Nomura's benefits rank #1 amongst our competitors

 

Department overview

 

Front Office Risk is responsible for implementation of effective First Line of Defense Economic Risk Management within Wholesale. The team covers economic risk of all Global Markets business in the region; Flow and Structured Rates (including Agency Mortgages), Equity Products, and Securitized Product.
 
Role Description
 
Front Office Risk Management is looking to hire a senior level professional to join the team covering the US business.

The Risk Manager will need to oversee all significant financials risks (notably Market and Counterparty) across all products as well as leading and executing on key enhancements to our risk platform.  In particular, the role will require quantitative and qualitative analysis on material positions and risk; working closely with Trading Desks and other stakeholders in evaluating and making decisions on these risks.

Key responsibilities include: 


   Play a leading role in ensuring all key risks in US Global Markets business lines are identified, assessed, quantified where possible, monitored, and escalated where needed for senior decisions
   Monitor and review risk profiles, market activity and key flashpoints in Trading Desk and Counterparty portfolios. Understand and articulate the most significant risks and the factors driving performance.
   Conduct regular analysis using techniques like Stress testing, Concentration/ Liquidity assessment, P&L Attribution, VaR, etc and produce appropriate assessments and recommendations
   Where necessary, challenge Traders and Risk-takers around the risk profile and positions
   Play a leading role in driving the development of our risk platform including stress/scenario analysis, risk tools and new approaches to analyzing risk
   Work closely and communicate effectively with the team, Corporate Risk, Traders, Global Markets management and Corporate control functions
 
Skills, experience, qualifications and knowledge required:  


   Strong problem-solving and quantitative skills good knowledge of statistics and financial models

   Self-starter, extremely proactive, very detailed, can-do approach, intellectually inquisitive
    At ED level, Leadership skills able to create and work to a clear plan/target state and manage/direct others
   Strong team player with a very positive attitude and exemplary work ethic
   Excellent verbal and written communication skills.
   Detail-oriented problem-solving approach with strong desire to get things done
   Very execution oriented
   Strong quantitative and analytical mindset, with the ability to perform ad-hoc analysis on the fly. 

 

Vice President

  • 5-7 years of Financial Markets experience in Trading, Risk Management or related quantitative areas
  • Preferably Graduate degree in quantitative field 

 

Executive Director


   10 years of Financial Markets experience in Trading, Risk Management or related quantitative areas
   Preferably Graduate degree in quantitative field
   Programming skills desirable such as VBA, Python, MatLab, encouraged.
   Ability to dissect complex risks into easily addressable frameworks and communicate with senior management 
   Equity Derivatives risk or trading experience desirable


*base pay offered may vary depending on multiple individualized factors, including market location, corporate and functional title and duties, job-related knowledge and advanced degrees, skills, and experience.


 
Nomura is an Equal Opportunity Employer

Salary : $225,000 - $260,000

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