
US Rates - Rates Market Risk Manager
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Overview
Compensation
$200,000-$230,000/year
Job Description
US Rates - Rates Market Risk Manager As a Market Risk Manager covering Rates, you will ensure the effective risk management and oversight US Rates business which includes a variety of sub-businesses such as Repo, Treasuries, Swaps, Options, Exotics, RMBS and Munis. You will join a team of risk managers sitting on the trading floor and directly coordinating with traders and other business partners to help support business expansion initiatives, daily risk management, help with risk appetite calibrations, improve framework and reporting and strive for efficiency and streamlining of processes.Deliverables
- Developing, implementing, and maintaining risk control framework for the US Rates business and support Front Office Desk BAU PnL*
- Daily monitoring of risk, stress and Value-at-Risk (VaR) exposures, ensuring risk completeness and accuracy (for example by monitoring closely and understanding the P&L drivers every day)*
- Developing and implementing new stress testing analyses to better quantify the different basis risks that the desk runs*
- Keeping abreast of latest news and possible implications to the markets and the positions that the desk runs*
- Ensuring internal and external governance policies are being effectively applied*
- Liaising with trading desks with respect to exposures, new business and market activity and driving risk management infrastructure development
- Mentor junior team members
- Experience in market risk management, trading, structuring which involves understanding of market rates*
- Experience and understanding of other rates products Repo, Treasuries, Swaps, Options, Inflation, RMBS, Muni*
- Critical thinking with ability to understand and analyze large amount of data and think outside the box*
- Experience and ability to work in a fast-paced environment, working with a variety of teams, communicating well and concisely
- Strong interpersonal skills, with ability to build internal and external client and stakeholder relationships*
- Deep understanding of financial markets*
- Sound understanding of bank regulatory framework*
- Ability to uphold the teams standards in disagreements with stakeholders whilst maintaining a constructive dialog
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FAQs About US Rates - Rates Market Risk Manager Jobs at The Panther Group
What is the work location for this position at The Panther Group?
This job at The Panther Group is located in New York, NY, according to the details provided by the employer. Some roles may also include multiple work locations depending on the requirement.
What pay range can candidates expect for this role at The Panther Group?
Candidates can expect a pay range of $200,000 and $230,000 per year.
What employment applies to this position at The Panther Group?
The employer has not provided this information. This may be discussed during the hiring process.
What is the process to apply for this position at The Panther Group?
You can apply for this role at The Panther Group either through Sonara's automated application system, which helps you submit applications 10X faster with minimal effort, or by applying manually using the direct link on the job page.