Risk Manager - New York, United States - TUDOR INVESTMENT CORPORATION

    TUDOR INVESTMENT CORPORATION
    TUDOR INVESTMENT CORPORATION New York, United States

    2 weeks ago

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    Description
    Tudor Investment Corp.

    seeks a Risk Manager in New York, NY to monitor trading activities and ensure alignment with risk management framework and guidelines.

    Develop risk metrics and analytics to quantify and monitor market and tail risks. Ensure development and maintenance of risk management technology and analytics. May work remotely 1 day per week within normal commuting distance of New York, NY.

    Requirements:

    Master's degree in Business Administration, Finance or related and 7 years experience in risk management at financial / asset management institution.

    Requires 7 years experience in risk metrics; risk management theory and application; pricing and trading financial products in fixed income, equity and FX markets; derivatives pricing; statistical analysis; and conducting stress tests, historical simulation, value-at-risk evaluation and other market risk analyses.


    Wage range:
    $184,000-$205,000