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Risk Analyst - Mortgage Trading

Employer
Finance Network
Location
New York, USA
Salary
Highly Competitive
Closing date
Dec 3, 2020

View more

Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Reporting to the CRO, the Analyst's responsibilities will include monitoring and managing portfolio risk, scenario analysis, backtesting trading strategies and ad hoc quantitative research.

Candidates will have an advanced degree in a quantitative discipline with 4+ years of risk, pricing or quantitative analysis experience at an asset manager or in front office banking capacity. CFA charterholders are preferred. Knowledge of MBS is necessary. Communication skills are also key as this role will require daily interaction with the desk.

Please apply to this posting for more info on this search and other risk searches.

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