Lead valuation risk management for complex financial instruments and derivatives. Collaborate with cross-functional teams to drive innovation and compliance. Enhance valuation methodologies leveraging advanced technologies and automation.
Rates Valuation
in Financial Services PermanentJob Detail
Job Description
Overview
- Lead valuation risk management for interest rate products, ensuring compliance with regulatory standards and robust control frameworks.
- Collaborate with cross-functional teams to enhance valuation methodologies and support strategic initiatives.
- Focus on Independent Price Verification (IPV), fair value reserving, and prudent valuation practices.
- Manage valuation frameworks for complex financial instruments, including derivatives and exotic products.
- Engage with auditors and regulators to address valuation matters and ensure compliance.
- Drive innovation in valuation methodologies, leveraging advanced technologies for optimization.
- Mentor junior team members and foster a collaborative and inclusive work environment.
- Contribute to the organization’s growth through strategic valuation initiatives and professional development opportunities.
Key Responsibilities & Duties
- Perform monthly and intra-month Independent Price Verification (IPV) for the Rates business, focusing on derivatives and exotic products.
- Collaborate with Front Office Trading and Strats to address valuation risks and support business growth initiatives.
- Engage with senior management and stakeholders to discuss valuation matters and strategic decisions.
- Serve as the primary contact for auditors and regulators regarding IPV and valuation controls.
- Lead global teams to deliver on valuation agendas and maintain robust control frameworks.
- Innovate valuation methodologies and integrate automated controls to enhance efficiency and accuracy.
- Troubleshoot complex valuation issues and communicate effectively with senior management.
- Mentor junior team members, fostering their professional development and expertise.
Job Requirements
- Bachelor’s degree in Math, Sciences, Finance, Engineering, or Business; advanced degrees or certifications (CFA/FRM) preferred.
- Extensive experience in valuation, risk management, or product control within investment banking or financial markets.
- Expert knowledge of fixed income products, derivatives, and financial instruments.
- Strong stakeholder management skills with the ability to influence decisions and build relationships.
- Proficiency in project management, maintaining detailed plans, and tracking progress.
- Ability to troubleshoot and communicate complex topics effectively to senior management.
- Commitment to ethical conduct and maintaining independence in valuation functions.
- Familiarity with regulatory requirements and internal control frameworks.
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