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Risk, P&L Accounting-AVP

Risk, P&L Accounting-AVP

Job Description

Prestigious Global Financial Institution seeks an AVP for their Risk Management Group to manage the daily Product Control function for fixed income and FX trading.  Compilation of daily P&L for several fixed income trading desks; focus includes Investment Grade Corporates, Treasuries, GNMAs and FX as well as interest rate swaps.

Successful candidate will also handle month-end processes including reconciling daily reports to month-end reports and to G/L.  Analyze trade activity, market valuations and provide hands-on technical skills with knowledge of industry best practices.

Please email resumes in ms word format to:  [Click Here to Email Your Resumé]

Job Requirements

Bachelor's Degree in Finance, Accounting, Mathematics

4-6 years with knowledge Market and Liquidity Risk Management

P&L management experience in rates, credit and liquidity.

Strong knowledge of P&L reporting and management methodologies including quantitative analysis.

Preferred knowledge of VaR, economic capital, stress testing and scenario analysis.

Excellent SQL, VBA, MS Excel, and MS Access skills.

Job Snapshot

Base Pay $120,000.00 - $130,000.00 /Year
Other Pay Excellent Benefits including Bonus
Employment Type Full-Time
Job Type Banking
Education 4 Year Degree
Experience 4 years
Manages Others Not Specified
Relocation No
Industry Banking - Financial Services
Required Travel Not Specified
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Risk, P&L Accounting-AVP

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