VP, Market Risk Governance - New York, United States - Selby Jennings

    Selby Jennings background
    Description

    A growing financial institution in NYC is looking bring in a VP of Market Risk Governance. This person will be responsible for maintaining the Risk Governance framework, working closely with stakeholders across the organization and ensuring that the firm is complying with applicable regulations.

    Key Responsibilities:

    • Maintain market risk governance frameworks, including risk appetite statements, risk policies, and risk management procedures
    • Monitor/ensure the firm is compliant with applicable regulations
    • Analyze risk tolerance, risk limits, and risk appetite
    • Provide guidance and expertise on market risk management practices to business units and senior management

    Qualifications:

    • 4+ years of experience in Market Risk, Risk Governance, or Enterprise Risk
    • Strong understanding of derivatives, trading products, and market risk frameworks
    • Knowledge of regulatory requirements and industry standards related to market risk (e.g., Volker, Basel III, Dodd-Frank, etc.).
    • Excellent analytical skills, attention to detail, and the ability to communicate complex concepts