HSBC Senior Risk Analyst in New York, New York
Responsible for managing HSBC's traded risk exposure and optimizing its risk-return ratio. Work regularly with foreign exchange rates, commodity prices, interest rates, credit spreads and/or equity prices. Drive attainment of functional/functional unit results. Coordinate and manage several complex projects. Support and embed change initiatives, identifying and developing new or improved delivery mechanisms. Independently perform assignments to achieve stated objective. Determine and develop approach to solutions. Responsible for the delivery of end results and contribute to planning, finances, budget and policy development. Act as escalation point for complex issues. Negotiate mainly internally and at higher levels. Responsible for supervising a department or a functional unit/area team. Responsible for a team of professionals, including people, performance, budget and planning decisions. Act in an advisory role / influence the direction of own discipline. Understand functional risks in own functional area and monitor team adherence to policies.
Bachelor’s degree in Finance, Business Administration, Industrial Engineering, or related field, plus 5 years of experience in job or 5 years in a related position. Traded Risk experience including Market Risk and Traded Credit Risk. Trading experience required. Full understanding and work experience with the Dodd Frank Act's Volcker Rule. In depth knowledge of market and credit products. Detailed understanding of a major bank balance sheet and operating framework. Network across the banking industry required. EMPLOYER WILL ACCEPT ANY SUITABLE COMBINATION OF EDUCATION OR EXPERIENCE.
Job: *Risk Management
Title: Senior Risk Analyst
Location: New York-New York
Requisition ID: 0000ANFN