Prime Services Risk Management

Posted Yesterday
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New York, NY, USA
In-Office
250K-300K Annually
Senior level
Financial Services
The Role
Provide senior risk oversight for Americas Prime Brokerage and Delta One businesses, covering derivatives, financing, collateral, margin, and counterparty exposures. Lead portfolio monitoring, stress testing, margin methodology development, risk analytics, governance, regulatory engagement, and escalation of material risks. Partner with trading, sales, credit, technology, and global risk teams while developing Prime Risk professionals and presenting risk positions to senior management and committees.
Summary Generated by Built In

Jefferies is seeking a Risk Manager to join its Prime Services Risk Management team in New York. This is a newly created senior role reflecting the continued growth and strategic importance of the Prime Services franchise across the Americas and globally.
The SVP will provide senior risk oversight across the Americas Prime Brokerage and Delta One businesses, with cross-regional connectivity to the EMEA and APAC risk teams. The role sits at the center of the Prime Services franchise — partnering directly with trading and sales MDs, credit risk officers, and senior management to set risk appetite, govern margin and collateral frameworks, and ensure the business operates within sanctioned limits across all client types and product lines.
 

The successful candidate will combine deep Prime Brokerage risk expertise with strong leadership capability, the ability to drive methodology and analytics development, and the credibility to represent the risk function at senior governance forums and regulatory interactions. 
 

Key Responsibilities
Risk Oversight & Portfolio Management

  • Provide senior risk oversight across the Americas Prime Brokerage and Delta One businesses, covering equity, equity derivatives, swaps, fixed income financing, and FX exposures.
  • Monitor, manage, and analyse daily portfolio risk of the swap book and prime derivatives client base across equities, rates, and credit; identify, measure, and make financing decisions on material risk exposures.
  • Manage risk across listed derivatives and OTC cleared products where relevant, including an understanding of FCM and broker-dealer obligations and applicable regulatory requirements.
  • Monitor client exposure and collateral levels; lead margin call processes and ensure timely resolution of exceptions.
  • Provide risk assessment for new client portfolios; track and evaluate new business initiatives raised by the Prime front-office team.
  • Perform standard and ad-hoc risk reviews including stress testing, margin analysis, concentration review, and scenario analysis.

Margin & Methodology Leadership

  • Collaborate on the development, enhancement, back-testing, and governance of IA margin models across Cash and Swap Prime Brokerage — including methodologies for L/S Equity, Macro, Event Driven, Special Situations, Vol Arb, Convertible Bond and Quant strategies.
  • Drive ongoing improvements in stress testing frameworks, scenario analysis, collateral analytics, and margin adequacy reporting; ensure methodologies remain current with market evolution and regulatory expectations.
  • Govern daily monitoring of margin template variance; develop and maintain early warning indicator dashboards and oversight processes.
  • Approve adjustments to client trading margins and collateral terms in collaboration with credit risk officers.
    Cross-Functional Partnership.
  • Serve as a senior Americas risk partner for Prime Services sales and trading MDs; collaborate on client onboarding, risk structuring, and portfolio margining solutions.
  • Work closely with Credit Risk Officers to review and approve margin terms for hedge fund counterparties; sanction decisions for material trades and evolving exposures.
  • Partner with the platform and technology teams to enhance risk systems, quantitative analytics infrastructure, and data quality
  • Act as a senior escalation point for internal stakeholders, including risk information for senior management and client-facing risk queries.
  • Communicate margin methodologies and risk management approaches clearly to existing and prospective clients; lead client-specific financing conversations and margin capability discussions alongside Prime Sales.
  • Coordinate with EMEA and APAC Prime Risk leads on cross-border exposures, global governance forums, and consistent application of the global risk framework.

Governance, Reporting & Regulatory

  • Prepare and present risk positions, limit utilization, and emerging concerns to the Head of Prime Brokerage Market Risk, CRO, and relevant Risk Committees.
  • Sign off daily risk reporting; ensure accuracy, timeliness, and appropriate escalation of material moves.
  • Serve as a senior point of contact for regulatory enquiries (SEC, FINRA, Federal Reserve) related to Prime Services risk exposures in the Americas, supporting the Head of Prime Brokerage Market Risk in regulatory interactions as required.
  • Ensure adherence to and implementation of the global Prime risk framework; contribute to framework evolution as the business grows.

Team Leadership

  • Help develop a team of VP- and analyst-level Prime Risk professionals globally.
  • Set clear objectives, provide ongoing coaching, and build team capability in both quantitative risk techniques and business partnering.
  • Foster a proactive, commercially aware risk culture that is disciplined in process and constructive in its engagement with the front office.

Required Skills & Competencies

  • Demonstrated ability to lead a risk function and manage senior stakeholders, including MD-level trading and sales professionals, credit officers, and executive management.
  • Deep expertise in Prime Brokerage and Delta One risk — margin mechanics, collateral management, counterparty credit exposure, and financing risk across equity and equity-linked products.
  • Strong command of risk across equities, equity derivatives (swaps, futures, options), FX, rates, and securities finance products; listed derivatives and OTC cleared product knowledge is a strong advantage.
  • Familiarity with CCP structures and exchange margin methodologies; experience engaging directly with CCPs on margin drivers is advantageous.
  • Ability to own and lead development of margin methodologies and stress testing frameworks, not merely apply them.
  • Technically capable of directing quantitative analysts and engaging critically with model output; hands-on analytical skills in Python and/or SQL are a strong advantage.
  • Excellent written and oral communication; ability to distil complex risk positions into clear, actionable narratives for senior management and committees.
  • Sound regulatory awareness — familiar with SEC, FINRA, and Federal Reserve expectations for Prime Services risk management in the US.
  • Proven ability to operate under time pressure, make independent decisions, and escalate appropriately in fast-moving market conditions.
  • High level of commercial awareness and understanding of the Prime Services business model, client base (hedge funds, family offices, institutional), and competitive landscape.
     

Experience & Qualifications

  • Minimum 8 years of relevant experience in Prime Brokerage risk management, hedge fund credit/margin risk, listed derivatives risk, or closely related capital markets risk roles at a bank, prime broker, FCM, or major financial institution.
  • Demonstrated progression to a senior risk leadership role with team management responsibility.
  • Master's degree or equivalent in Finance, Financial Engineering, Mathematics, Economics, or a related quantitative field preferred.
  • CFA and/or FRM designation is an advantage.
  • Proficiency in Python and/or SQL; ability to build or direct development of risk analytics tools.
  • Familiarity with prime brokerage platforms, risk systems (e.g. Advent, Imagine, proprietary risk engines), and Bloomberg.
  • Experience working across multiple geographies or in a global risk coordination capacity is preferred.
     

Primary Location Full Time Salary Range of $250,000 - $300,000. 

About Us

Jefferies is a leading global, full-service investment banking and capital markets firm that provides advisory, sales and trading, research, and wealth and asset management services. With more than 40 offices around the world, we offer insights and expertise to investors, companies, and governments.

At Jefferies, we are committed to building a culture that provides opportunities for all employees regardless of our differences and supports a workforce that is reflective of the communities where we work and live. As a result, we are able to pool our collective insights and intelligence to provide fresh and innovative thinking for our clients.

Jefferies is committed to creating and sustaining a workforce that welcomes individuals from all backgrounds to apply. Our employment decisions are made without regard to race, creed, color, national origin, ancestry, religion, pregnancy, age, medical condition, physical or mental disability, marital status, domestic partner status, sex, sexual orientation, gender, gender identity or expression, veteran or military status, genetic information, reproductive health decisions, or any other factor protected by applicable law. We are committed to hiring the most qualified applicants and complying with all federal, state, and local equal employment opportunity laws. As part of this commitment, Jefferies will extend reasonable accommodation to individuals with disabilities, as required by applicable law.

The salary offered will take into consideration an individual’s experience level and qualifications. In addition to salary, Jefferies Financial Group is proud to offer a comprehensive benefits package to eligible, full-time employees or part-time employees, who are scheduled to work at least 30 hours or more per week, including an annual discretionary incentive and retention bonus, competitive employee benefits, including: medical, dental & vision coverage; 401(k); life, accident, and disability insurance; and wellness programs. Jefferies also offers paid time off packages that include planned time off (e.g., vacation), unplanned time off (e.g., sick leave), and paid holidays, and for full-time employees, paid parental leave.


Skills Required

  • Minimum 8 years of relevant experience in Prime Brokerage risk management, hedge fund credit or margin risk, listed derivatives risk, or closely related capital markets risk roles
  • Experience at a bank, prime broker, FCM, or major financial institution
  • Demonstrated progression to a senior risk leadership role with team management responsibility
  • Deep expertise in Prime Brokerage and Delta One risk, including margin mechanics, collateral management, counterparty credit exposure, and financing risk
  • Strong command of risk across equities, equity derivatives, FX, rates, and securities finance products
  • Ability to lead development of margin methodologies and stress testing frameworks
  • Proficiency in Python and/or SQL
  • Ability to lead or direct development of risk analytics tools
  • Leadership and senior stakeholder management experience
  • Familiarity with SEC, FINRA, and Federal Reserve expectations for Prime Services risk management
  • Master’s degree or equivalent in Finance, Financial Engineering, Mathematics, Economics, or a related quantitative field
  • CFA and/or FRM designation
  • Familiarity with prime brokerage platforms and risk systems such as Advent, Imagine, or proprietary risk engines
  • Experience with Bloomberg
  • Knowledge of listed derivatives, OTC cleared products, CCP structures, and exchange margin methodologies
  • Experience working across multiple geographies or in a global risk coordination capacity

Jefferies Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Jefferies and has not been reviewed or approved by Jefferies.

  • Strong & Reliable Incentives Compensation is positioned as competitive with meaningful upside, with potential for significant earnings depending on group performance and strong years. A formulaic, performance-linked bonus model ties payouts to individual fees or P&L, reinforcing a pay-for-results dynamic.
  • Parental & Family Support Family-building support is broad, including primary and non-primary caregiver leave, adoption assistance, subsidized emergency child and eldercare, and a $25,000 stipend for qualified surrogacy, adoption, or fertility support. Added resources like family support programs and parental-leave coaching further strengthen caregiver benefits.
  • Wellbeing & Lifestyle Benefits Lifestyle perks extend beyond standard coverage, including discount programs, commuter benefits, legal plans, charitable matching, and education assistance such as tuition support and scholarships for employees’ family members. Location-specific perks like gym stipends and free cafeteria lunch are also described as available in some offices.

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The Company
HQ: New York, NY
6,435 Employees
Year Founded: 1962

What We Do

Jefferies, the global investment banking firm, has served companies and investors for 60 years. Headquartered in New York, with offices in over 30 cities around the world, the firm provides clients with capital markets and financial advisory services, institutional brokerage and securities research, as well as asset and wealth management. The firm provides research and execution services in equity, fixed income, and foreign exchange markets, as well as a full range of investment banking services including underwriting, mergers and acquisitions, restructuring and recapitalization, and other advisory services, with all businesses operating in the Americas, Europe and Asia. Jefferies Group LLC is a wholly-owned subsidiary of Jefferies Financial Group (NYSE: JEF), a diversified financial services company. More about our company can be found at www.jefferies.com.

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