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Market Risk Analyst I
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Full-time
- Areas of Interest: Risk Management; Brokerage Services; Wealth Management
- The Market Risk Analyst I role involves aggregating and evaluating complex risk exposures, providing risk mitigation tools, and reporting to senior leadership.
- The Market Risk Analyst I - Broker / Bank Dealer aggregates and evaluates complex risk exposures according to tolerance levels set by BOKF Board, executive management, and leadership committees.
- You'll be crucial in creating and applying analytical models for independent valuation and risk evaluation of securities and derivatives, aiding decision-making, and risk management.
- This level of knowledge is normally acquired through completion of bachelor's degree in finance, Economics, Accounting, Business, Engineering, or related field and 1-2+ years of experience related to risk management, risk control, financial analysis, and derivatives valuation and strategy.
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