Senior Director - Front Office Risk - Equity Derivatives

Selby Jennings
London, GB
On-site

Job Description

Equity Derivatives - Front Office RiskLocation: London Business Area: Investment Bank - Equity Derivatives Reporting line: Global Equity Derivatives LeadershipRole OverviewThis is a senior, front‑office In‑Business Risk role embedded within the Equity Derivatives franchise. The role partners closely with global trading leadership and sits above individual desks, providing portfolio‑level risk oversight, challenge and strategic input across the equities platform.The successful individual will act as a trusted risk partner to senior traders and management, identifying thematic and systemic risks, shaping risk mitigation strategies, and enhancing how risk is monitored, understood and communicated across the business.This role is not a traditional Market Risk position. It is commercially oriented, first‑line in nature, and focused on supporting trading management in decision‑making around portfolio construction, hedging, and risk concentration.Key ResponsibilitiesPortfolio Risk ManagementRun dynamic portfolio‑level stress testing across the global equity derivatives book, assessing tail risks, correlations, concentrations and scenario impacts.Review portfolio hedges, overlays and residual risks in partnership with trading leads.Identify thematic and systemic risks arising from market structure, flows, events or positioning across desks and regions.Recommend risk mitigation strategies and hedge overlays where appropriate and relevant.Risk Oversight & Deep DivesCoordinate structured book reviews and deep dives across Equity Derivatives desks, following an agreed governance framework and cadence.Provide insight into material risk drivers across products including flow, exotics, structured products, QIS and equity financing.Support Trading Management in understanding cross‑book interactions rather than siloed desk risks.Reporting & Data QualityOwn and enhance in‑business risk reporting, ensuring outputs are insightful, forward‑looking and decision‑useful.Deliver regular and ad‑hoc reporting to senior trading management and other key stakeholders.Drive improvements in data quality, consistency and transparency, working alongside Technology, Quant and Risk teams.Governance, Limits & CoordinationDrive the monitoring and coordination of risk, capital and regulatory limits across regions and globally.Ensure limit adherence is understood, proactively monitored and escalated where appropriate.Act as a senior interface between Trading, Market Risk, Finance, Capital and Regulatory teams.Senior Stakeholder EngagementWork directly with Global Heads of Trading, desk leads and senior management, providing credible challenge and commercial insight.Support senior management decision‑making during periods of market stress or heightened volatility.Contribute to the ongoing evolution of the Equity Derivatives in‑business risk framework.Required Background & ProfileSignificant experience within Equity Derivatives, gained through:In‑Business / Front‑Office RiskTrading or StructuringHedge Fund or Investment Bank Equities platformsStrong understanding of portfolio‑level risk dynamics, including hedging, correlation, stress behaviour and event risk.Credible communicator with the ability to engage and challenge senior traders constructively.Experience across complex products such as exotics, volatility, QIS, structured equities, delta one and equity financing.Comfortable operating at Senior Director / Managing Director interface level within a global organisation.Quantitative mindset with the ability to interpret and challenge analytics, models and scenarios.What This Role Is NotNot a second‑line Market Risk or purely control‑oriented roleNot desk‑level day‑to‑day risk monitoringNot product‑siloed (e.g. Delta One‑only)Why This Role Is CriticalThis position plays a key role in strengthening front‑office risk ownership, improving how portfolio risk is understood and managed, and ensuring Equity Derivatives leadership has the insight needed to navigate complex and fast‑moving markets.

Skills & Requirements

Technical Skills

Risk managementEquity derivativesPortfolio risk managementStress testingPortfolio hedgesRisk oversightRisk mitigationRisk reportingData qualityLimits monitoringCommunicationPythonSqlCommunicationProblem-solvingTeamworkProactiveOrganizational skillsCredible challengeFinanceRisk managementEquity derivatives

Employment Type

FULL TIME

Level

senior

Posted

4/25/2026

Apply Now

You will be redirected to Selby Jennings's application portal.

Sign in and we'll score your resume against this role.