Risk Analyst, Capital Markets

The Oakleaf Group, LLC
Washington, DC
Oct 13, 2017
Oct 16, 2017
Full Time
Risk Analyst Capital Markets Washington DC metro area Ref We have an immediate position available for a Risk Analyst to support our client to develop next generation innovative products services and solutions The role will be in our clienta s Capital Markets Risk Management area which is responsible for measuring and monitoring the risk in the capital markets balance sheet which includes over billion of mortgage securities and loans Measure and monitor the market liquidity and credit risk in the billion balance sheet of mortgage securities and loans Support portfolio s risk position with attribution to provide feedback to senior management on business strategies Produce risk management reports and monitor the relevant markets and portfolio activity Work with Analytics team and traders to develop tactical and strategic guidance on portfolio s risk position that are consistent with limits and capital constraints Provide recommendations to senior management Support Capital Markets team with guidance on portfolio composition with specific allocation recommendations across asset classes and products Assist in developing debt funding strategy Identify assets that are rich or cheap by assessing model results against recent or expected market developments Review risk reports and capital adequacy reports to maintain a comprehensive understanding of risk positions market conditions and business strategies Maintain an understanding of investment and funding guidelines market risk policies liquidity risk policies credit risk policies and capital policies Coordinate with systems personnel to continually develop the infrastructure to support business and modeling needs This includes the portfolio collection and aggregation process access to appropriate market information and utilization of different pricing methodologies to estimate fair value and database which satisfies reporting and analysis needs Work with the trading and funding desks in real time at both the portfolio and security level to develop specific hedge recommendations for portfolio management to improve return risk profile Support management through understanding PL attribution and risk return analysis and forecasting and deal structure years of experience in fixed income risk analysis trading or front office market risk management ideally mortgage related Comfortable with mathematical quantitative finance market liquidity risk measurement skills ie Duration Convexity Value at Risk Stress Testing basic statistics Can communicate complex quantitative concepts to a non technical audience of peers and executives Demonstrates strong customer service team player and cross collaborative soft skills Advanced MS Excel and VBA experience is a plus Third party candidates will not be considered for this position As a condition of employment with The Oakleaf Group any successful job applicant will be required to successfully complete a background investigation which may also include a pre employment drug screen and or a credit check for positions in some areas of our business The Oakleaf Group is an equal opportunity employer Applicants are considered for positions without regard to race religion gender native origin age disability or any other category protected by applicable federal state or local laws The Oakleaf Group participates in the E Verify program

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