IMC Trading is seeking a Senior Risk Manager to join its US Risk Management Team in Chicago. The ideal candidate will possess risk management expertise and a proactive approach to support the assessment and management of market, credit, liquidity, and operational risks.IMC is a global trading firm known for its research environment and technology. This role offers the opportunity to work closely with trading and technology teams, contributing to the management of risks across various products and markets.Role Involves:
Managing day-to-day risk management functions.
Identifying and managing risks in trading strategies.
Monitoring market risk at portfolio and product levels.
Analyzing financial market developments.
Developing real-time risk monitoring and reporting tools.
Collaborating with global teams to design risk controls.
Assessing solutions to complex business processes.
Contributing to the firm’s risk control self-assessment.
Requirements:
At least 5 years of relevant experience in financial risk management.
Strong quantitative and technical background.
Experience managing risks associated with portfolios of equities, futures, and options.
Detailed knowledge of exchange-traded derivatives.
Familiarity with exchange margin and broker-dealer capital requirements.
FINRA SIE and Series 57, or ability to pass the exams within 6 months.
Strong communication, interpersonal, and organizational skills.
IMC is a global trading firm that operates in the financial markets since 1989. The company leverages advanced research and technology to provide liquidity and stability across various markets. With offices in the US, Europe, Asia Pacific, and India, IMC fosters a collaborative culture among its research, engineering, trading, and business operations teams. IMC is committed to innovation, continuous improvement, and actively engages with regulatory bodies across multiple jurisdictions to ensure adherence to evolving industry standards and compliance requirements.