Senior Equities Market Risk Lead - Stress & Derivatives
Listed on 2026-10-06
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Finance & Banking
Banking & Finance, Trading - Equity / Derivatives / Quantitative, Risk Manager/Analyst, Financial Services
Nomura Holdings, Inc. is looking for a risk manager to work within their US Equities Desks, focusing on Flow and Structured Derivatives. The role will involve daily risk exposure reviews, developing risk reports, and close collaboration with the front office.
Ideal candidates will have 5-10 years of trading or market risk experience, particularly in Equities, and must possess strong analytical and communication skills. Programming skills are preferred but not necessary.
Are you ready to take on the Senior Equities Market Risk Lead
- Stress & Derivatives role at Nomura Holdings, Inc.?
Consider building your career as a Senior Equities Market Risk Lead
- Stress & Derivatives at Nomura Holdings, Inc.
The Senior Equities Market Risk Lead
- Stress & Derivatives position in the Finance field is open for applications.
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