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Global Markets Senior Risk Manager

Bank of America
New York, NY
  • Job Code
Company Bank of America

Job Title Global Markets Senior Risk Manager

Jobid bankofamerica-17011926NewYorkNY

Location: New York, NY, 10176, USA

Description **Job Description:**

**Function overview** :

The role is for a senior Commodities risk manager covering the Commodities Americas trading business at Bank of America. The role requires a thorough understanding of commodity markets (in particular Energy markets), strong expertise in commodity derivatives as well as experience in the risk management of commodity structured and financing transactions. The risk manager is responsible for making himself aware of all significant exposures, and for performing quantitative and qualitative analysis of all material positions and risks. He/she will assess a broad spectrum of risks, predominantly market risks but also operational, credit, and counterparty risks, should these types of risks exist.

This individual will report to the global head of macro risk management which covers Bank of America’s Global Rates, Global Financing and Futures, G10 Foreign Exchange, and Commodities businesses.

**Primary job responsibilities include:**

+ Identify and analyze all significant exposure across the Commodities line of business, regionally and globally, and ensure that senior risk management is kept informed about the exposure.

+ Monitor and report positions against risk metrics and limits. Liaise closely with the Commodities front office to detail exposure and risk limits. Challenge the business if there are any limit breaches and overages.

+ Close liaison with other support and control functions to ensure a holistic approach to risk management and risk control

+ Assess the commodity and global macro environment to identify upcoming developments and events (e. g. changes in commodity supply/demand fundamentals, macroeconomic changes) that may impact the desks’ positions and p&l. Design hypothetical stress testing scenarios to determine possible portfolio losses. Communicate scenario results with the desks and help improve the books’ risk profiles, if necessary.

+ Help enhance the risk infrastructure and the design and production of risk reports.

+ Regulatory risk reporting such as CCAR, point-of-weakness assessment, and internal stress testing procedures

+ Review risks related to non-standard or structured transactions and new products. Liaise closely with the business and support functions to determine the size of risks, and ensure they are within the firm’s risk appetite.

+ Opportunity to work on key projects for the market risk organization with the front office and other support partner groups; represent market risk in cross function projects for larger scale system changes and migration

+ Contribute to the development of the global risk team and to the positive work environment

**Required job skills:**

The candidate must have a keen interest in financial markets and risk management and should have the following attributes:

+ Excellent knowledge of commodity products and markets, and highly developed understanding of portfolio risk dynamics; experience with credit, funding would be desirable

+ Good understanding of macroeconomic and political developments and their impact on financial markets; good understanding of interdependencies between different asset classes, especially how these may change during a market crisis

+ Strong communication skills including impeccable writing skills for externally used documentation

+ Excellent analytical skills

+ The team is located on the trading floor, so the candidate must have the ability to multitask in a dynamic environment. The successful candidate must be able to build strong relationships with the front office while maintaining independence. He/she must be able to handle disputes, negotiate with traders, and uphold risk frameworks.

+ Highly motivated individual that fully understands the demands of a market risk professional

**Posting Date** : 04/18/2017

**Location** :


- United States

**Travel** : No

**Full / Part-time** : Full time

**Hours Per Week** : 40

**Shift** : 1st shift

**Assistance for Applicants with Disabilities**

Bank of America is committed to ensuring that our online application process provides an equal employment opportunity to all job seekers, including individuals with disabilities. If you believe you need a reasonable accommodation in order to search for a job opening or to submit an application, please visit the Applicants with Disabilities page at http://careers.bankofamerica.com/us/applicants-with-disabilities .

**Diversity & Inclusion**

At Bank of America, our commitment to diversity and inclusion is helping us to create not only a great place to work, but also an environment where our employees, our customers and our communities around the world can reach their goals and connect with each other. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status.

**Frequently Asked Questions**

Need to know how to apply online, view a list of your submitted job applications or reset your password? Visit our FAQ at http://careers.bankofamerica.com/us/faq section for answers to these questions and more.


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Global Markets Senior Risk Manager

Bank of America
New York, NY

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Bank of America
New York, NY

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