1

Vice President Risk Management Graduate Jobs in New York

Our Jersey City office is seeking a VP, Risk Management to join our Risk Management group. This position will be focusing on margining and stress testing of options, equities, fixed income, FX and ...

VP - Risk

New York, NY

$115K - $175K/yr

Risk Management Pay Detail: $115,000 - $175,000 USD TD is committed to providing fair and equitable ... Undergraduate or graduate degree in Finance, Economics, Mathematics, or other relevant discipline.

VP - Risk

New York, NY · On-site

$115K - $175K/yr

Risk Management Pay Detail: $115,000 - $175,000 USD TD is committed to providing fair and equitable ... Undergraduate or graduate degree in Finance, Economics, Mathematics, or other relevant discipline.

TD Securities Operational Risk Management (Level 10) - Vice President Business Unit : Risk Management Region : US Location : 1 Vanderbilt Team Overview Operational Risk Management (ORM) works as an ...

The incumbent will be responsible for the oversight of the operational risk management framework and program including IT risk management, business continuity planning. The VP will be responsible for ...

The VP will transform challenges and opportunities into value-driven use cases and oversee the ... Manage data transformation, entity consolidation, and risk aggregation processes used to report ...

The individual will work closely with the Risk Management organization, Front Office, and global technology teams. The VP shall understand how risk metrics are produced, validated, and consumed, and ...

The individual will work closely with the Risk Management organization, Front Office, and global technology teams. The VP shall understand how risk metrics are produced, validated, and consumed, and ...

The individual will work closely with the Risk Management organization, Front Office, and global technology teams. The VP shall understand how risk metrics are produced, validated, and consumed, and ...

next page

Showing results 1-20

Vice President Risk Management Graduate information

What is the difference between Vice President Risk Management Graduate vs Risk Analyst?

AspectVice President Risk Management GraduateRisk Analyst
Required CredentialsTypically a master's degree in finance, risk management, or related field; relevant certifications (e.g., FRM, CRM) preferredBachelor's degree in finance, economics, or related field; certifications like FRM are advantageous
Work EnvironmentSenior-level strategic environment, overseeing risk management programs, collaborating with executive teamsOperational environment, analyzing data, assessing risks, preparing reports for management
Employer & Industry UsageUsed in large financial institutions, corporations, and consulting firmsCommon in banks, insurance companies, and investment firms

The Vice President Risk Management Graduate typically holds a higher-level, strategic role requiring advanced education and certifications, focusing on overseeing risk management strategies. In contrast, a Risk Analyst is more involved in data analysis and risk assessment at an operational level. Both roles are essential in financial industries but differ significantly in responsibilities and seniority.

What are the most commonly searched types of Risk Management Graduate jobs in New York? The most popular types of Risk Management Graduate jobs in New York are:
What cities in New York are hiring for Vice President Risk Management Graduate jobs? Cities in New York with the most Vice President Risk Management Graduate job openings:

Vice President, Risk Management

Wedbush Securities

Jersey City, NJ • On-site

$137K - $184K/yr

Full-time

Re-posted 4 hours ago


Job description

Wedbush Securities is one of the largest securities firms and investment banks in the nation. We provide innovative financial solutions through our Wealth Management, Capital Markets, Futures and Advanced Clearing & Prime Services divisions. Headquartered in Los Angeles, California with over 100 offices and more than 80 correspondent offices, our commitment to providing relentless, customized service is the foundation of our consistent growth.

Our Jersey City office is seeking a VP, Risk Management to join our Risk Management group. This position will be focusing on margining and stress testing of options, equities, fixed income, FX and other derivative securities.  

Responsibilities will include, but are not limited to:

  • Manage all margin requirements on client accounts on a security basis, portfolio level and on the global firm-wide platform
  • Analyze risk exposure across the firm and set appropriate margin requirements and policies to mitigate that risk
  • Manage the firm's risk exposure due to margin loans, large concentrated trades and volatile market moves, being both proactive and reactive to managing concentration risk, liquidity risk and market volatility on the entire client base
  • Perform Stress Testing and VaR analysis on complex portfolios; comprised of equities, options, fixed income and futures securities, and ad hoc business and liquidity analysis on key drivers and accounts
  • Issue margin calls for client accounts and monitor limit breaches for proprietary trading desks
  • Set margin lending rates and trading limits on a wide array of securities and lines of businesses which include repo lending, stock loan, agency execution, investment banking, etc
  • Mitigate liquidity risk and funding requirements arising from institutional trading by interfacing with street-side and central counterparties 
  • Facilitating the clearance of large transactions from execution through settlement
  • Perform other tasks and duties as required and assigned

  • Strong industry knowledge across multiple lines of business.  Clearance & Settlement, Prime Brokerage, Agency Execution and in-depth understanding of NSCC, OCC, FICC & DTC.
  • High Competency in Equities, Complex Options, Fixed Income, Reg T. Calculation and Portfolio Margin.
  • The ideal candidate can work independently, can manage tight deadlines and has excellent presentation skills, both written & verbal.
  • 10+ years of experience in Risk Management
  • Bachelor's Degree, preferably in Finance/Business Administration or related fields
  • Advanced abilities using Excel, Powerpoint and Bloomberg.  SQL & Power BI is a plus, but not required.
  • Series 7 required within 6 months.