The Market Risk Manager in Dallas, TX, will play a critical role within Financial Risk and Governance (FR&G) by overseeing the identification, measurement, monitoring, and control of market and liquidity risks related to clearing and settlement processes. This individual will lead a team to ensure effective governance and quality assurance while collaborating closely with various teams to maintain an integrated approach to financial risk management. Key responsibilities include monitoring daily margin calculations, managing risk exposures, and ensuring compliance with risk management policies.
Company Culture and Environment
The company fosters a collaborative and detail-oriented environment, emphasizing teamwork and strong ethical behavior. The emphasis on continuous improvement and proactive risk management indicates a culture focused on high standards and quality assurance.
Career Growth and Development Opportunities
This role presents opportunities for leadership development, as the Market Risk Manager will lead a team and be involved in initiatives that may result in personal and professional growth within the financial services sector.
Compensation and Benefits
- Competitive salary based on experience
- Comprehensive health, dental, and vision insurance
- Retirement savings plan with company matching
- Paid time off and flexible working arrangements
- Opportunities for professional development
Skills
- Strong leadership and delegation abilities
- Proficiency in Excel (formulas, pivot tables)
- In-depth understanding of fixed income products (treasuries, mortgage-backed securities)
- Strong risk management fundamentals
- Excellent analytical and communication skills
- Ability to manage and work collaboratively with diverse teams
Responsibilities
- Lead a team of market risk associates and analysts across global offices
- Review and evaluate daily work and deliverables for quality and accuracy
- Proactively identify and evaluate changes in market risk exposures
- Monitor market conditions and economic trends to assess risks
- Ensure compliance with established processes and ethical standards
- Manage issues from audits and regulatory exams, ensuring effective remediation
- Work on projects and process enhancements to mitigate emerging risks
Qualifications
- Minimum of 8 years of experience in risk management within financial services
- Experience in leading teams for at least 2 years
- Strong understanding of margining methodologies and financial markets
- Stable work history with a minimum of 3-4 years in each role
- Experience with clearing houses is a plus
Education Requirements
- Bachelor's degree preferred or equivalent experience
Experience Requirements
- At least 8 years of relevant experience in financial risk management
- Proven experience in fixed income markets is essential
Employment Type: Full-Time
Education Level: Bachelor's degree
Minimum Requirements
- Do you have a Bachelor's degree preferred or equivalent experience?
- Do you have a minimum of 8 years of risk experience in Financial Services?
- Do you have fixed Income experience (treasuries, mortgage-backed securities, etc.)?
- Do you have strong Excel skills (formulas; pivot tables)?
- Do you have strong leadership skills and ability to delegate?
- Have you led a team for a minimum of 2+ years?
- Do you have strong risk management fundamentals?
- Do you have a stable work history (3-4 years minimum for each role)?
- Do you have experience with clearing house - Nice to Have?
- Do you have Series 7 - Nice to Have?
- Do you have CFA certification - Nice to Have?
- Must be a US Citizen or Green Card holder.
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