1+ months

Senior Market Risk Analyst

Hanover, NJ 07981
**Job Location:** United States : New Jersey : Whippany

**Role Value Proposition:**

The Derivatives and Market Risk team within Corporate Risk Management (CRM) looks after the risk management of enterprise FX risk and is looking to hire a Senior Market Risk Analyst, reporting to the Assistant Vice President. This position requires someone with strong quantitative skills who will play a key role in analyzing FX risk and in the development and implementation of FX risk management tools and processes. This position will also support new and existing derivative risk management initiatives, and other market risk management functions.

**Key Responsibilities:**

+ Key quantitative resource for the development, implementation, and maintenance of Enterprise-wide enhanced FX exposure reporting, monitoring processes, risk-based limits, and an Enterprise FX risk appetite

+ Work closely with the Derivatives Desk, Legal, Operations, ALM, Treasury, Finance, and the local Global Risk Management (GRM) teams to meet objectives and build strong working relationships

+ Identify and analyze significant FX and/or derivative risk exposures; understand and communicate the effects of strategic plans and initiatives on local and enterprise risk levels

+ Develop a deep understanding of MetLifes existing sources of foreign currency risk information on assets, liabilities, and derivatives

+ Understand MetLife Currency Risk Policy and corporate governance processes

**Essential Business Experience and Technical Skills:**


+ 3-5 years of work experience, with minimum 2 years of experience in financial industry, preferably around FX or derivatives risk


+ 2 plus years of experience with SQL, Access, VBA, Murex, YieldBook, Numerix, and/or Bloomberg

+ Comprehensive knowledge of the principles, fundamentals, and techniques of market risk management; actuarial designation, MBA, CPA, or CFA a plus

+ Comprehensive understanding of market dynamics and experience with market risk modeling and/or statistical modeling

+ Comprehensive understanding of fixed income securities markets, derivatives, financial analytics, insurance liabilities and risk management

+ Strong interpersonal, oral, and written communication skills

+ Good project management skills

**Business Category**

Global Risk Management

**Number of Openings**


At MetLife, were leading the global transformation of an industry weve long defined. United in purpose, diverse in perspective, were dedicated to making a difference in the lives of our customers.

MetLife is a proud equal opportunity/affirmative action employer committed to attracting, retaining, and maximizing the performance of a diverse and inclusive workforce. It is MetLife's policy to ensure equal employment opportunity without discrimination or harassment based on race, color, religion, sex (including pregnancy, childbirth, or related medical conditions), sexual orientation, gender identity or expression, age, disability, national origin, marital or domestic/civil partnership status, genetic information, citizenship status, uniformed service member or veteran status, or any other characteristic protected by law.

MetLife maintains a drug-free workplace.

**For immediate consideration, click the Apply Now button. You will be directed to complete an on-line profile. Upon completion, you will receive an automated confirmation email verifying you have successfully applied to the job.**

Requisition #: 99096


Before you go...

Our free job seeker tools include alerts for new jobs, saving your favorites, optimized job matching, and more! Just enter your email below.

Share this job:

Senior Market Risk Analyst

Hanover, NJ 07981

Share this job

Senior Market Risk Analyst

Hanover, NJ

Separate email addresses with commas

Enter valid email address for sender.

Join us to start saving your Favorite Jobs!

Sign In Create Account
Powered ByCareerCast