Wedbush Securities is one of the largest securities firms and investment banks in the nation. We provide innovative financial solutions through our Wealth Management, Capital Markets, Futures and Advanced Clearing & Prime Services divisions. Headquartered in Los Angeles, California with over 100 offices and more than 80 correspondent offices, our commitment to providing relentless, customized service is the foundation of our consistent growth.
Our Chicago office is hiring for an experienced Vice President, Market Risk Analytics Manager FICCS to join our Risk and Credit Group. The primary function of this role is to act as a Market Risk Analytics Manager focusing on futures, options on futures, FX, power products and Fixed Income.
Responsibilities include, but are not limited to:
Monitor client trading across multi-asset classes and create risk monitoring reports
Design SQL queries and relational databases to support daily tasks and automate reports
Manage team that issues intraday/overnight calls and risk limit breaches to clients, while answering and investigating any inquiries or disputes
Calibrate risk systems and reporting for daily monitoring and management reporting packages
Oversee and manage Stress Testing and 1.73 liquidation reports
Inspect 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
Perform as a backup for daily approval of outgoing wires and ACHs
Manage and conduct reports on various Exchange Default Management Systems
Perform other tasks and duties as assigned and required
Experience and Skills
Bachelor's Degree from an accredited university, preferably in Business Administration or other related field
Minimum 10+ years of experience in futures, FX, and fixed income
Strong knowledge and experience in Power, Energy Futures, products and exchange requirements, standards, and best practices
Experience with exchange margin tools and ability to produce and analyze the margin requirements for various exchange margin platforms such as CME, ICE, Nodal, etc.
Familiarity with options and understanding of option strategies; experience with energy products with limit setting for contracts, margin, risk and Globex credit limits
Background in developing and maintaining risk policies, processes, procedures, and standards
Execute SQL queries and apply knowledge of database infrastructure, with experience using Tableau
Ability to manage across multiple competing priorities and time-sensitive initiatives
Strong ability to work independently, delegate duties and develop team relationships
Excellent written and verbal communication skills
Numbers & Facts
Location
Chicago, IL
Skills
Best Practicesunmatched
Business Administrationunmatched
Capital Marketsunmatched
Communication Skillsunmatched
Credit Riskunmatched
Fixed Income Investmentsunmatched
Futuresunmatched
Investment Servicesunmatched
Management Reportingunmatched
Market Analysisunmatched
Microsoft Exchange Serverunmatched
Multitaskingunmatched
Presentation/Verbal Skillsunmatched
Relational Databases (RDBMS)unmatched
Requirements Managementunmatched
Riskunmatched
Risk Analysisunmatched
Risk Managementunmatched
SQL (Structured Query Language)unmatched
Securitiesunmatched
Securities Investmentsunmatched
Stress Testingunmatched
Tableauunmatched
Team Lead/Managerunmatched
Wealth Managementunmatched
Writing Skillsunmatched
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