
Securitized Products Market Risk AVP
Barclays is looking for an experienced and enthusiastic AVP of Securitized Products Market Risk to join our team. We are looking for an individual with a strong knowledge of credit and structured finance markets, as well as an understanding of the technical and regulatory aspects of financial products. The ideal candidate is a creative problem-solver who is eager to learn and take on new challenges in a fast-paced, evolving environment.The successful candidate must have a minimum of five years of experience in a market risk role, preferably in securitized products, as well as a Bachelor’s degree in Finance, Economics, or a related field. Strong quantitative skills and the ability to interpret and analyze complex financial data are essential. In addition, strong communication and interpersonal skills as well as the ability to work in a team-oriented environment are essential to success in this role.
Responsibilities:
- Monitor, analyze, and report on market risk in securitized products.
- Develop and manage risk models for new and existing products.
- Analyze macroeconomic conditions and other market data to identify potential risks and opportunities.
- Develop and maintain risk management policies and procedures.
- Monitor and report on changes in the regulatory environment.
- Prepare reports and presentations on market risk for senior management.
- Collaborate with other departments to ensure compliance with risk management policies and procedures.
- Develop and maintain relationships with external market participants.
- Participate in regional and global risk management meetings.
- Stay up to date on industry trends and best practices.
Bachelor's Degree In Finance
Economics
Or A Related Field
Excellent Problem Solving And Decision Making Skills
+ Years Of Experience In Securitized Products Market Risk Management
In-Depth Knowledge Of Securitized Products Market Risk Tools And Techniques
Expertise In Risk Analytics And Mathematical Modeling
Ability To Interpret Complex Regulatory Requirements
Experience Leading And Developing Teams
Strong Written And
Risk Management
Excel
Financial Modeling
Credit Analysis
Stress testing
Data Analytics
Portfolio Management
Risk modeling
Regulatory compliance
ALM
Securitization
quantitative
Derivatives
Basel Iii
Var
Communication
Conflict Resolution
Leadership
Problem Solving
Time management
Interpersonal Skills
creativity
Organizational skills
Teamwork
Adaptability
According to JobzMall, the average salary range for a Securitized Products Market Risk AVP in New York, NY, USA is between $112,364 and $202,504. The salary range may vary depending on factors such as company size, location, experience, and industry.
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Barclays plc is a British multinational investment bank and financial services company, headquartered in London. Apart from investment banking, Barclays is organised into four core businesses: personal banking, corporate banking, wealth management, and investment management.

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