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Lead/Head - Equities Market Risk Manager

Selby Jennings
York, NY Full Time
POSTED ON 7/6/2026
AVAILABLE BEFORE 7/30/2026

A Tier-1 Investment Bank is looking to add a SVP/Director level candidate to their team to cover their Equities Trading business consisting of Cash and Derivatives like Structured Products, Exotics, Options, Delta-1, and Corp Derivatives.


This person will manage a lean team and be responsible for being the Head of Equities Market Risk for the US. This individual will be responsible for working with traders to asses risk usage and limit usage for the firm's Equities Trading business and communicate risk metrics such as VaR. This hire will join a relatively lean team and have exposure to senior management and business decision makers from day one, joining a firm known for positive culture and growth opportunities.


The ideal hire will have 7 years of experience in a Market Risk or Trading seat with in-depth knowledge of equities markets.


Responsibilities:

  • Provide Market Risk oversight for the firm's Equity Derivatives business
  • Work with Traders to explain Risk Metrics, Risk Usage, and Limits relating to their daily trading activity
  • Work with Traders, Market Risk Analytics, and FO Quant team to provide best in class Market Risk practices for Equity Derivatives Trading


Qualifications:

  • 7 Years in Market Risk covering Equity Derivatives and Equity related products
  • Deep understanding of Equity Derivatives and Greeks such as Exotics, Structured Equities, Delta-1, and Corp Derivatives
  • Excellent communication skills and ability to work with Senior Management and FO Personnel

Salary : $300,000 - $400,000

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