VP - Risk
Job in
New York, New York County, New York, 10261, USA
Listed on 2026-06-21
Listing for:
TD Bank
Full Time
position Listed on 2026-06-21
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Consultant, Financial Compliance, Banking & Finance
Job Description & How to Apply Below
## VP - Risk Postulerremote type:
Sur place locations:
New York, New Yorktime type:
Temps pleinposted on:
Publié hiertime left to apply:
Date de fin : 6 juillet 2026 (Il reste 16 jours pour postuler) job requisition :
R 1495781
** Work Location**:
New York, New York, États-Unis d'Amérique
*
* Hours:
** 40
* * Line of Business:
** Gestion des risques
** Pay Detail:**$115,000 - $175,000 USDTD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs.
As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
*
* Job Description:
** Reporting to the Head of Market Risk, XVA & Capital Optimization Desk Coverage, this Level 10, Market Risk Specialist's accountabilities include:
* As a senior member of the Market Risk team, provide effective market risk oversight of the xVA desk.
* Develop a strong independent view of current market conditions, the market risk of the desk's positions, as well as xVA methodology.
* Maintain close contact with TDS Front Office, including business heads and senior traders regarding trading strategies, market conditions, risk positions, liquidity, profit and loss, and new initiatives.
* Work closely with the team to promote collaboration and to provide insight and education with respect to the trading businesses.
* Develop market risk policy for the relevant trading business with the objective of providing effective market risk oversight. Design stress tests and scenarios that highlight key market risks.
* Maintain an understanding of the regulatory landscape related to risk reporting and xVA (e.g., CVA Capital and FRTB) and provide data analysis to facilitate discussion with Trading Desk.
* Analyze new product requests to ensure that market risks are well understood and that appropriate market risk limits and controls are established.
* Effectively communicate risk issues to all levels of the Risk Management organization, other control groups and the front office.
* Provide coaching and mentorship within Market Risk team.
*
* Job Requirements:
*** Minimum of five years of market risk or trading experience
* Deep capital markets knowledge with expertise in market risk and control functions covering derivatives, sales/trading/hedging strategies with a particular focus on XVA and CCR.
* Solid understanding of risk measurement concepts and methodologies including VaR, FRTB, SA-CVA, Stress Testing etc. coupled with an understanding of broader regulatory and financial concepts.
* Excellent interpersonal, team building and leadership skills.
* Undergraduate or graduate degree in Finance, Economics, Mathematics, or other relevant discipline.
* Ability to thrive within an environment with a high level of complexity and ambiguity. Keen interest in learning and a high level of curiosity regarding financial markets and products.
* Organizational awareness and demonstrated relationship building skills, with a superior ability to make things happen through the use of positive influence.
* Advanced critical thinking, analytical and problem solving skills.
* Skillful written and verbal communication skills.
* A high level of integrity, earning the respect and trust of peer groups.
* CFA or FRM candidates preferred.
* Self-motivated and willing to take ownership and initiative with a positive attitude.
The VP Risk TDS responsibility is to bring transparency to the market risks in TDS. This is achieved via taking a leadership role in the accurate, objective assessment of all key market risks in all trading portfolios in TDS through the identification, understanding and control of these risks.
** Depth & Scope:
*** Serves as a point-person and provides oversight in regards to market risk control for trading desks in the Region
* Assists in the identification of all key market risks and determine appropriate risk metrics to assess these risks
* Maintains thorough understanding of all key risk and risk-related issues through continual review of risk reports/related data and dialogue with relevant parties
* Establishes dialogue with TDS trading desks in regards to current positions, key risks, views and strategies
* Assists in the establishment of formal market risk policies and procedures and ensure ongoing suitability to business evolution
* Assists with local market risk regulatory issues
* Develops a thorough understanding of business strategies and key factors contributing to profitability
* Be involved in P&L attribution and periodic performance analysis with commentary…
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