Our Risk Manager will monitor and help manage risk in a several thousand instrument option trading book. You will use proprietary risk management technology to identify areas of potential or actual excess risk and then work with traders to mitigate. You will also be working with technology staff to improve and optimize systematic monitoring. This position will report to the CEO and be the firms single primary source for risk tracking and mitigation.
Desired Skills and Experience
Extreme detail orientation. Financial market knowledge, particularly option theory, pricing and risk. Some experience in risk management preferred.
Due to the volume of responses, we can only respond to the candidates selected for interviews. Principals only please. Position is located in San Francisco, CA. Please send resume to email@example.com