Job Summary
A company is looking for a Director of Market Risk Operations.
Key Responsibilities
- Lead the development and implementation of a portfolio margin program, including eligibility criteria and risk monitoring procedures
- Develop comprehensive market risk policies across various asset classes and ensure alignment with regulatory expectations
- Define market risk reporting structures for senior leadership and support teams in interpreting risk signals
Required Qualifications
- Bachelor's degree in Finance, Business, Data Science, Statistics, or a related field
- 8+ years of experience in market or margin risk management in a FINRA-regulated environment
- FINRA Series 7 (or must be obtained within 3 months of employment)
- Proven experience in building or managing a portfolio margin program
- Deep understanding of market risk drivers and familiarity with regulatory requirements
Comments