- Monitor market risk exposures for domestic and international equities trading desks.
- Support model integrity and back-testing for risk controls, including VaR and stress metrics.
- Analyze and validate equity stresses, Greeks, and VaR results.
- Build and maintain risk reporting tools using GUI, SQL, Excel/VBA, and AI technologies.
- Prepare daily and weekly risk summaries and support regulatory reporting.
- Collaborate with front-office trading desks to review limit usage and strategies.
- Proactively monitor and investigate deviations in trading activity.
- Track and reconcile P&L attribution with risk factor movements.
- Support multiple products/strategies, including equity options and OTC market making.
- Ensure adherence to internal risk policies and regulatory standards.
- Bachelor's degree in Finance, Economics, Mathematics, or related field.
- 2-5 years of experience in market risk management, with equity risk exposure.
- Strong programming skills, particularly SQL, for data analysis and reporting.
- Solid understanding of market risk concepts: VaR, stress testing, Greeks, etc.
- Experience with Fidessa and Bloomberg is preferred.
- Excellent communication skills for effective collaboration across teams.
- Ability to adapt and manage multiple priorities in a fast-paced environment.
- Proficiency in GUI, Excel/VBA, and Python is an asset.
- Familiarity with internal AI tools for risk management.
- A proactive and detail-oriented approach to risk monitoring and investigation.
Salary: $75,000 - $92,000 plus bonus
The actual base salary will be determined on an individualized basis considering a wide range of factors including, but not limited to, relevant skills, experience, education, and, where applicable, licenses or certifications held. In addition to base salary and a competitive benefits package (including health, vision, and dental insurance, paid time off and a 401(k) retirement), this position may be eligible for additional types of compensation including discretionary bonuses and other short- and long-term incentives (e.g., deferred cash, equity, etc.).
We do not accept unsolicited resumes, candidate referrals, or outreach from third-party recruiters or staffing agencies. Any such submissions will be considered property of Cantor Fitzgerald and will not be eligible for any placement fee. Recruiters must have a signed agreement with our Talent Acquisition team and be invited to submit candidates for a specific role. Direct contact with hiring managers or employees is strictly prohibited.
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Skills Required
- Bachelor's degree in Finance, Economics, Mathematics, or related field.
- 2-5 years of experience in market risk management with equity risk exposure.
- Strong programming skills, particularly SQL, for data analysis and reporting.
- Solid understanding of market risk concepts: VaR, stress testing, Greeks.
- Familiarity with internal AI tools for risk management.
- Experience with Fidessa and Bloomberg.
- Proficiency in GUI, Excel/VBA, and Python.
- Excellent communication skills for effective collaboration across teams.
- Ability to adapt and manage multiple priorities in a fast-paced environment.
- Proactive and detail-oriented approach to risk monitoring and investigation.
What We Do
Cantor Fitzgerald is a leading global financial services firm, serving clients from over 30 offices around the world. Founded in 1945 as a securities brokerage and investment bank, the firm pioneered computer-based bond trading, built one of the broadest distribution networks in the industry and became the market’s premier dealer of government securities. Today, Cantor Fitzgerald is known for its strength across a diverse array of businesses, including equity and fixed income capital markets, investment banking, commercial real estate finance and services, prime brokerage, asset management and wealth management, and e-commerce and online ventures. In all its businesses, the firm is an acknowledged leader in developing advanced technologies to expand market access, and help clients achieve their most important financial and strategic objectives. This commitment to client-centered innovation has led to enduring relationships with many of the world’s most demanding institutional investors and corporations. For more information please visit www.cantor.com.








