Risk Manager
Tower Research Capital(12 days ago)
About this role
A Senior Risk professional at Tower Research Capital focused on managing and overseeing risk for the firm’s equity trading activities, especially equity statistical arbitrage and delta one strategies. The role supports the trading platform by maintaining risk frameworks, stress testing, and governance across trade lifecycles within a high-performance quantitative trading environment.
Required Skills
- Stress Testing
- Scenario Analysis
- Margin Analysis
- Securities Lending
- Equity Financing
- Backtesting
- Python
- Databases
- Risk Governance
- Communication
Qualifications
- Bachelor's Degree
- Master's Degree Preferred
About Tower Research Capital
tower-research.comTower Research Capital is a global quantitative trading firm that builds and operates high-performance, low-latency technology platforms to power algorithmic trading and market-making. It brings together quantitative researchers, software engineers, and traders to develop data-driven strategies across multiple asset classes and electronic markets. The firm emphasizes proprietary infrastructure, rigorous research, and execution speed to identify and capture opportunities worldwide.
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