1 day old
2017-11-222017-12-21

Manager, Capital Markets, Risk and Quantitative Analysis

McLean, VA
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  • Job Code
    capitalone2-R37278
Company Capital One

Job Title: Manager, Capital Markets, Risk and Quantitative Analysis

JobID: capitalone2-R37278

Location: McLean, VA, 22106, USA

Description: McLean 1 (19050), United States of America, McLean, Virginia



At Capital One, we’re building a leading information-based technology company. Still founder-led by Chairman and Chief Executive Officer Richard Fairbank, Capital One is on a mission to help our customers succeed by bringing ingenuity, simplicity, and humanity to banking. We measure our efforts by the success our customers enjoy and the advocacy they exhibit. We are succeeding because they are succeeding.



Guided by our shared values, we thrive in an environment where collaboration and openness are valued. We believe that innovation is powered by perspective and that teamwork and respect for each other lead to superior results. We elevate each other and obsess about doing the right thing. Our associates serve with humility and a deep respect for their responsibility in helping our customers achieve their goals and realize their dreams. Together, we are on a quest to change banking for good.



Manager, Capital Markets, Risk and Quantitative Analysis



**The Risk and Quantitative Analysis team within the Market and Liquidity Risk Oversight (MLRO) department is seeking a qualified candidate for a** **Manager** **position. MLRO provides oversight for the management of Market and Liquidity risks across Corporate Treasury, Commercial Bank and other lines of business (LOB’s) engaged in capital markets activity. The Manager position entails ownership of risk and regulatory reporting for a collection of risk management programs, analyzing and establishing appropriate formal controls in response to regulatory requirements, and providing project management support for other governance and risk oversight activities. The scope of the role covers a broad set of capital markets activities occurring within the Commercial derivatives trading and the Corporate Treasury hedging programs, amongst other areas. It involves partnering with several stakeholders across multiple functional areas such as capital, compliance, operations, audit and other risk management units. The ideal candidate will (a) possess exceptional communication skills, (b) be a self-starter and demonstrate independent ownership, and (c) have professional project management skills with the ability to work backwards from deadlines and keep management updated on project status.**



**The role is ideal for candidates seeking a career in Capital Markets risk management who have prior experience in related areas. A working knowledge of derivatives, fixed income products and standard hedging strategies, combined with a strong desire to learn will be crucial for success. The role requires the candidate to develop familiarity with multiple regulations that affect day-to-day activities within prior mentioned capital markets areas.**



**Qualifications**



**Basic Requirements:**



·Bachelor’s Degree or Military Experience



·At least 3 years of experience in Market Risk Management or related Capital Markets areas



·Experience in MS Office suite



**Preferred Qualifications:**



·Master’s degree in Economics, Finance and/or other quantitative disciplines OR Master’s degree in Business Administration (MBA) with a focus on Finance



·Project management experience with accountability for end deliverables and through the cycle reporting



**At this time, Capital One will not sponsor a new applicant for employment authorization for this position**



Categories

  • Management

At Capital One, we’re building a leading information-based technology company. Still founder-led by Chairman and Chief Executive Officer Richard Fairbank, Capital One is on a mission to help our customers succeed by bringing ingenuity, simplicity, and humanity to banking. We measure our efforts by the success our customers enjoy and the advocacy they exhibit. We are succeeding because they are succeeding.                                               


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Manager, Capital Markets, Risk and Quantitative Analysis

Capital One
McLean, VA

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Manager, Capital Markets, Risk and Quantitative Analysis

Capital One
McLean, VA

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