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Market Risk Associate

Market Risk Associate

CompanyApollo Global Management
LocationNew York, NY, USA
Salary$110000 – $130000
TypeFull-Time
DegreesBachelor’s
Experience LevelMid Level, Senior

Requirements

  • 3-5 years of relevant experience in Risk Management (Market or Credit Risk), Portfolio Management, or Trading, with an emphasis within the Credit and/or Securitized Products sectors.
  • Bachelor’s degree from an accredited institution is required.
  • Knowledge of credit market dynamics, including cash, synthetics, and structured products, is preferred.
  • Prior experience working within a broker-dealer firm understanding trading practices.
  • Responsible for identifying, measuring, monitoring, and controlling financial risks within the risk governance framework (e.g., VaR and stress-testing standards, counterparty exposure estimation, documentation and reporting approaches).
  • Strong understanding of quantitative credit methodologies and credit analytics.
  • Preference for programming skills; proficiency in Python, SQL, and Excel.
  • Intellectual curiosity and desire to understand complex investments.
  • Excellent analytical, oral, and written communication skills.
  • Strong attention to detail and ability to deliver results.
  • Collaborative, organized, flexible and results-driven.

Responsibilities

  • Monitor investment risks within trading inventory pursuant to the established risk framework.
  • Develop new analytical tools and techniques to identify and analyze risks and liquidity, and facilitate discussions on trade book hedging.
  • Utilize proprietary risk systems to monitor exposures, conduct stress testing (including generation of topical stress scenarios), and perform risk and performance attribution.
  • Conduct detailed reviews of portfolio risk and performance drivers, proactively highlighting areas of concern.
  • Collaborate with Analytics and Technology teams to develop, enhance, and deliver cutting-edge risk analytics and models.
  • Effectively communicate complex ideas to target audiences, including traders and executive management.

Preferred Qualifications

  • A Master’s degree in a quantitative discipline (e.g., mathematics, computer science, financial engineering, or econometrics) is preferred but not required.