
Fixed Income Capital Markets Risk Analyst
at Raymond James
Posted 21 hours ago
No clicks
- Compensation
- Not specified
- City
- Country
- United States
Currency: Not specified
**Fixed Income Capital Markets Risk Analyst** manages market risk exposure, valuations, scenario analyses, and reporting for our Capitial Markets team. Expertise in fixed income products, repos, derivatives, and cash management required. Key responsibilities include risk quantification, P&L attribution, and regulatory compliance. Proficient in SQL, Python, and risk management software. Seeking mid-level candidate (5-10 years of experience). Familiarity with Bloomberg, Refinitiv, and FICC markets preferred.
No additional description provided.
