Analyst - Counterparty Risk Manager
- Employer
- Barclays
- Location
- New York, USA
- Salary
- Competitive
- Closing date
- Dec 15, 2022
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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As a Barclays Counterparty Risk Management - Analyst, you will be responsible for the management and control of counterparty risk at Barclays. In your new role you will be providing independent review and challenge of counterparty risk across the business, producing detailed analysis of the portfolio for internal and external stakeholders and managing the control framework under which counterparty risk is governed. You will be liaising with Sales and Trading to understand the risk on derivative and financing transactions.
Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We've helped millions of individuals and businesses thrive, creating financial and digital solutions that the world now takes for granted. An important and growing presence in the USA, we offer careers providing endless opportunity.
Salary/ Rate Minimum: 75,000
Salary/ Rate Maximum: 98,000
The minimum and maximum salary/ rate information above include only base salary or base hourly rate. It does not include any another type of compensation or benefits that may be available.
What will you be doing?
• Taking care of ive risking of derivative and securities financing transactions across products
• Managing portfolio risk of exposures for the bank
• Analysing quantitative and qualitative of counterparty risk
• Analysing of emergent market and macroeconomic events and how they affect the bank's counterparty risk profile
• Contributing to the continuous improvement of risk systems and tools
• Presenting analysis and results to senior management
• Ensuring the appropriate model governance and control environment is in place and maintained
What we're looking for:
• Degree in Sciences, Engineering or Finance
• Understanding of derivatives and securities financing products and risk metrics
• Experience with statistical analysis and tools e.g. SQL, R, Python
• Track record in risk management/ quantitative analysis with a leading Investment/ Corporate Bank
Skills that will help you in the role:
• Master's Degree
• Related post graduate study (e.g. FRM, CFA, CQF)
Where will you be working?
You will be working at our Americas Headquarters at 745 Seventh Avenue. This 37-story office tower is located in Times Square in the heart of Manhattan and features a cafeteria, fitness center and state-of-the-art LED signage on the facade of the building.
Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We've helped millions of individuals and businesses thrive, creating financial and digital solutions that the world now takes for granted. An important and growing presence in the USA, we offer careers providing endless opportunity.
Salary/ Rate Minimum: 75,000
Salary/ Rate Maximum: 98,000
The minimum and maximum salary/ rate information above include only base salary or base hourly rate. It does not include any another type of compensation or benefits that may be available.
What will you be doing?
• Taking care of ive risking of derivative and securities financing transactions across products
• Managing portfolio risk of exposures for the bank
• Analysing quantitative and qualitative of counterparty risk
• Analysing of emergent market and macroeconomic events and how they affect the bank's counterparty risk profile
• Contributing to the continuous improvement of risk systems and tools
• Presenting analysis and results to senior management
• Ensuring the appropriate model governance and control environment is in place and maintained
What we're looking for:
• Degree in Sciences, Engineering or Finance
• Understanding of derivatives and securities financing products and risk metrics
• Experience with statistical analysis and tools e.g. SQL, R, Python
• Track record in risk management/ quantitative analysis with a leading Investment/ Corporate Bank
Skills that will help you in the role:
• Master's Degree
• Related post graduate study (e.g. FRM, CFA, CQF)
Where will you be working?
You will be working at our Americas Headquarters at 745 Seventh Avenue. This 37-story office tower is located in Times Square in the heart of Manhattan and features a cafeteria, fitness center and state-of-the-art LED signage on the facade of the building.
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