Risk Manager - Prop Trading Firm
- 5-10 years of Market Risk experience at a trading firm
- Expertise with derivatives trading in futures and/or options (rates, FX, equities, or commodities)
- Familiarity with market risk metrics, derivative Greeks, and futures risk management methodology
- Highly analytical, detail oriented, and comfortable in a fast paced trade floor environment
- Bachelors degree in Finance, Risk Management, Mathematics or related field required
- Proficiency in Excel preferred
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