Ernst & Young LLPposted 2 months ago
$103,300 - $170,500/Yr
Full-time • Senior
New York, NY
Professional, Scientific, and Technical Services

About the position

At EY, you'll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we're counting on your unique voice and perspective to help EY become even better. Join us and build an exceptional experience for yourself, and a better working world for all. The exceptional EY experience. It's yours to build. EY focuses on high-ethical standards and integrity among its employees and expects all candidates to demonstrate these qualities. Financial Services Risk Management Advisor, FSRM (Traded Products Risk & Capital) - Financial Services Office (Senior): This position could be located in NY, NC. EY is the only professional services firm with a separate business unit ('FSO') that is dedicated to the financial services marketplace. Our FSO teams have been at the forefront of every event that has reshaped and redefined the financial services industry. If you have a passion for rallying together to solve the most complex challenges in the financial services industry, come join our dynamic FSO team!

Responsibilities

  • Advise and provide clients with strategic recommendations on Financial Services Risk Management issues facing the financial services sector, focusing on the identification, measurement, and management of Market Risk and Counterparty Credit Risk.
  • Focus on financial risk identification, measurement, mitigation, monitoring and reporting of exposures to interest rate, commodity, equity, credit and foreign exchange movements.
  • Provide strategic and tactical advice on the implementation of strategic process and business as usual enhancements as well as legislative and regulatory requirements such as Fundamental Review of the Trading Book (FRTB), Standardized Approach for Counterparty Credit Risk (SA-CCR), Regulatory CVA, Risk Pricing and Valuation, Margin (i.e., Initial and Variation Margin) and Comprehensive Capital Adequacy and Review (CCAR).
  • Work closely with a team of professionals with diverse skills and backgrounds.
  • Consistently deliver quality client services.
  • Demonstrate technical capabilities and professional knowledge.
  • Maintain long-term client relationships and networks.
  • Possess strong written and verbal communication skills.
  • Cultivate business development opportunities.

Requirements

  • Bachelor's degree in finance, economics, accounting, engineering or a related discipline and approximately 4 years of related/relevant work experience; or a Master's degree in Finance, Accounting, Business, Management or a related field and 2 years of work experience in the Financial Services industry.
  • Relevant experience in the financial services industry with either a consulting firm, internal consulting organization, or within front office or market risk, counterparty risk, or related areas at leading financial services institutions.
  • Demonstrate derivatives product knowledge across asset classes including interest rates, credit, equity, commodity, and FX, including but not limited to pricing and valuation.
  • Knowledge of market infrastructure and control functions, including clearing, margining, settlement, product control and trading controls.
  • Excellent communication, strong problem solving and solution development skills.

Nice-to-haves

  • A 'go-getter' attitude, experience with market infrastructure and control functions, including clearing, margining, settlement, product control and trading controls.

Benefits

  • Competitive compensation package based on performance.
  • Medical and dental coverage.
  • Pension and 401(k) plans.
  • Minimum of 15 days of vacation plus ten observed holidays and three paid personal days.
  • Collaborative environment.
  • Excellent training and development prospects.
  • Team of senior colleagues dedicated to managing and varying workload.
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