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Team Lead - Market Risk, Credit Products

Michael Page International

  • New York, New York
  • 3 days ago
  • $180,000–$220,000 Per Year
  • Full-time
Michael Page International
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Skills

  • Analysis Skillsunmatched
  • Asset Managementunmatched
  • Business Analysisunmatched
  • Business Intelligence Softwareunmatched
  • Communication Skillsunmatched
  • Construction Managementunmatched
  • Credit Riskunmatched
  • Data Collectionunmatched
  • Data Setsunmatched
  • Economicsunmatched
  • Financeunmatched
  • Financial Analysisunmatched
  • Fixed Income Investmentsunmatched
  • Home Automationunmatched
  • Institutional Asset Managementunmatched
  • Investment Analysisunmatched
  • Investment Managementunmatched
  • Leadershipunmatched
  • Legalunmatched
  • Liquidityunmatched
  • Loansunmatched
  • MPIunmatched
  • Market Analysisunmatched
  • Mathematicsunmatched
  • Mentoringunmatched
  • Metricsunmatched
  • Mortgage-Backed Securitiesunmatched
  • People Managementunmatched
  • Portfolio Analysisunmatched
  • Presentation/Verbal Skillsunmatched
  • Problem Solving Skillsunmatched
  • Product Programsunmatched
  • Public/Media/Press/Analyst Relationsunmatched
  • Python Programming/Scripting Languageunmatched
  • Reporting Dashboardsunmatched
  • Riskunmatched
  • Risk Analysisunmatched
  • Risk Managementunmatched
  • SQL (Structured Query Language)unmatched
  • Securitiesunmatched
  • Securities Lendingunmatched
  • State Laws and Regulationsunmatched
  • Stock Marketunmatched
  • Strategic Planningunmatched
  • Stress Testingunmatched
  • Team Lead/Managerunmatched
  • Test Scenariounmatched
  • Testingunmatched
  • Trend Analysisunmatched
  • Value At Risk (VaR)unmatched
  • Writing Skillsunmatched

Description

Job TitleLead portfolio risk oversight across complex credit strategiesJob DescriptionDevelop, enhance, and maintain portfolio-level risk frameworks, methodologies, and reporting tools. Analyze investment portfolios and underlying holdings to identify market, liquidity, concentration, and factor risks. Monitor key portfolio risk measures including volatility, beta, tracking error, concentration exposures, and correlation analysis. Design and perform stress testing, scenario analysis, and portfolio sensitivity assessments. Establish, monitor, and report key risk indicators, thresholds, and risk limits, including Value-at-Risk (VaR) metrics. Evaluate macroeconomic and market developments and assess potential portfolio impacts. Support valuation and risk assessment of complex and difficult-to-price securities. Provide risk oversight and analytical support for new investment products and strategic initiatives. Utilize Python, SQL, business intelligence tools, and market data platforms to develop and automate risk analytics. Aggregate and standardize data from multiple sources to create consistent, transparent, and scalable risk reporting. Analyze large and complex datasets to identify trends, emerging risks, and actionable insights. Present risk assessments, portfolio observations, and recommendations to senior management and investment committees. Partner with portfolio managers, traders, research analysts, relationship managers, compliance, legal, and technology teams on risk-related matters. Contribute to the ongoing enhancement of risk policies, governance frameworks, and analytical capabilities. Mentor and oversee junior team members, supporting their professional development and day-to-day activities.MPI does not discriminate on the basis of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, veteran status, marital status, or based on an individual's status in any group or class protected by applicable federal, state or local law. MPI encourages applications from minorities, women, the disabled, protected veterans and all other qualified applicants.The Successful ApplicantBachelor's degree in Finance, Mathematics, Risk Management, Business Analytics, Economics, or a related discipline. 9+ years of experience in market risk, portfolio risk, or investment risk management within a buy-side institution. Demonstrated experience overseeing portfolio-level risk across multiple asset classes. Strong knowledge of structured credit and fixed income products, including securitized assets and leveraged credit instruments. Experience with market risk methodologies including VaR, stress testing, expected shortfall, correlation analysis, and factor-based risk modelling. Advanced proficiency in Python, SQL, Excel, and financial market data platforms. Strong analytical and problem-solving capabilities with the ability to translate complex data into actionable recommendations. Experience presenting risk analysis and portfolio observations to senior stakeholders and executive leadership. Excellent written and verbal communication skills.Preferred ExperienceExperience managing risk across asset classes such as asset-backed securities, commercial mortgage-backed securities, collateralized loan obligations, leveraged loans, high-yield debt, preferred securities, private credit, and public equities. Knowledge of portfolio construction, investment management processes, and institutional asset management practices. Experience building automated reporting, risk dashboards, and analytical tools. Prior people management or team leadership experience.What's on OfferBase compensation $150,000 - $200,000 plus 50%-130% bonus.

Numbers & Facts

LocationNew York, New York
Job TypeFull-time
IndustryStaffing/Employment Agencies
Salary$180,000–$220,000 Per Year
Company Size10,000 employees or more
Websitehttps://www.michaelpage.ca/

About Company

Michael Page is one of the world's leading professional recruitment consultancies, specializing in the placement of candidates in permanent, contract, temporary and interim positions with clients around the world. Our business was established in Canada in 2005 when we opened our Toronto office. Our role is to work with employers and job seekers to facilitate a successful match. This can range from advising a global company on a candidate sourcing strategy to helping a job seeker find their dream job. In Canada, we focus on recruiting for the following areas: Banking and financial services Digital and e-commerce Engineering and manufacturing Finance and accounting Human resources Information technology Marketing Oil and gas Procurement and supply chain Property and construction Sales An Established Brand The Group has established a leading presence in many of the key markets for professional recruitment around the world and has positioned itself in certain other markets, which offer the opportunity for future growth. Within its current largest markets, Michael Page has also built a regional presence, including in the UK, France and Australia. Consequently, the Michael Page brand is among the most widely recognized brands in the professional recruitment industry. A Market Leader The role of a recruitment consultancy is to act as an intermediary, identifying and sourcing suitably qualified candidates on behalf of its clients. Candidates are recruited either for permanent or contract positions (typically for a fixed term) or on a temporary basis. Within the overall recruitment industry, the market for professional recruitment services is a specialist sector which has developed more recently. Michael Page is widely recognized as leading the development of this market around the world. Learn the benefits of working with Michael Page yourself. Submit your resume or contact a Michael Page recruitment consultant today.

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