A company is looking for a Senior Manager, Market Risk (Trading & Derivatives).
Key Responsibilities
Design risk frameworks for spot, derivatives, options, and OTC trading
Build analytics and controls for managing options and derivatives exposures
Assess risks associated with large trading flows and monitor liquidity fragmentation
Required Qualifications
8+ years of experience in market risk, derivatives trading, or trading desk risk
Strong understanding of options, derivatives, and trading risk management
Experience working closely with trading desks or market-making businesses
Familiarity with risk metrics such as VaR, stress testing, and options Greeks
Experience in 24 / 7 markets or crypto trading environments is a plus
mid
3/26/2026
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