Proactive communication with the team and with partners through informal channels as well scheduled meetings.Escalation of existing and evolving risks as appropriate.Daily review and evaluation of our Prime Brokerage portfolios.Daily review and evaluation of our Structured and Flow derivatives portfolios. With the help of our Risk Policies and the overarching Risk Management Framework and in compliance with the Risk Appetite Statements of the Board, the team works directly with the business and in partnership with our second line partners and is directly responsible for sanctioning decisions around material trades, defining and refinement of risk methodologies and the identification and assessment of emerging risks. The role also encompasses assisting with risk oversight of regulated US Swaps Dealer that operates across asset classes. We offer deep sector expertise across a full range of products and services in investment banking, equities, fixed income, asset and wealth management in the Americas, Europe and the Middle East and Asia.īased in New York, as part of a global team, the Risk Manager, will assist with the analysis and oversight of the equity derivatives and Prime brokerage activities of Jefferies. Our strategy focuses on continuing to build out our investment banking effort, enhancing our capital markets businesses and further developing our Leucadia Asset Management alternative asset management platform. broker-dealer, was established in the U.K. in 1962 and our first international operating subsidiary, Jefferies International Limited, a U.K. Our largest subsidiary, Jefferies LLC, a U.S. (‘‘Jefferies,’’ ‘‘we,’’ ‘‘us’’ or ‘‘our’’) is a U.S.-headquartered global full service, integrated investment banking and securities firm.
0 Comments
Leave a Reply. |
AuthorWrite something about yourself. No need to be fancy, just an overview. ArchivesCategories |