
Madison-Davis
EXTERNAL ROLE
Job Summary:
Client is a full-service securities and futures firms and investment bank providing innovative financial solutions through Private Client Services, Capital Markets, and Clearing & Execution divisions. They are seeking a candidate to join our Risk and Credit Group for the Los Angeles branch. This position will report directly to the Senior Vice President of Risk & Credit in Los Angeles and will be a Market Risk Manager focusing on equities, fixed income, options, and other derivative trading.
Job Duties:
- Handle daily monitoring of client positions, activities and market movements for Reg-t and portfolio margin accounts
- Issue intraday/overnight calls and limit breaches to clients, while answering and investigating any inquiries or disputes
- Daily monitoring of client margin calls and analyzing firm risk exposures
- Inspecting client performances by evaluating intraday/overnight profit & losses and stress tests to identify any potential dangers and present protective measures against price fluctuations of client positions
- Daily approval of outgoing wires and ACHs
- Review and approval of trading limit requests
- Performs other tasks and duties as assigned and required
Qualifications:
- Bachelor’s Degree from an accredited University, preferably in Business Administration or other related fields
- SQL abilities to perform queries and knowledge of database infrastructure
- Advanced abilities using Excel
- Competency in using GMI, CME SPAN and the various margin tools presented by each exchange
- Familiarity with options and understanding of option strategies
- Ability to work in a constant state of alertness and safe manner