Bank of America

Global Markets CVA Risk Manager

Bank of America

Remote
Full-TimeDepends on ExperienceSenior LevelMasters
Job Description

Welcome to Bank of America! We are currently seeking a highly skilled and motivated Global Markets CVA Risk Manager to join our team. As a member of our Global Markets Risk Management team, you will play a crucial role in identifying, assessing, and managing counterparty credit risk in our derivatives trading portfolios. This is an exciting opportunity for an experienced risk professional to join a dynamic and collaborative team, and make a significant impact on the risk management of one of the world's leading financial institutions. If you have a strong understanding of credit valuation adjustment (CVA) and a track record of managing risks in a fast-paced and complex environment, we encourage you to apply. This role requires a combination of technical expertise, strategic thinking, and strong communication skills. Join us in our mission to help customers and clients achieve their financial goals while managing risk effectively.

  1. Develop and implement risk management strategies and policies for counterparty credit risk in our derivatives trading portfolios.
  2. Perform regular credit risk assessments and stress testing to identify potential risks and develop appropriate risk mitigation strategies.
  3. Utilize your expertise in credit valuation adjustment (CVA) to analyze and assess the creditworthiness of our trading counterparties.
  4. Collaborate with internal teams and external stakeholders to monitor and manage counterparty credit exposure.
  5. Conduct in-depth analysis of market and credit risk factors to identify potential areas of risk and develop effective risk management solutions.
  6. Stay updated on industry developments and regulatory requirements related to counterparty credit risk.
  7. Communicate and present risk assessment findings and recommendations to senior management.
  8. Work closely with trading desks and other risk management teams to ensure effective risk management processes are in place.
  9. Lead and mentor junior team members in developing their risk management skills and knowledge.
  10. Continuously review and improve risk management processes and procedures to ensure they align with industry best practices.
  11. Collaborate with cross-functional teams to develop and implement new risk management tools and systems.
  12. Act as a subject matter expert on counterparty credit risk for internal and external stakeholders.
  13. Represent the organization in industry forums and conferences related to counterparty credit risk.
  14. Maintain a thorough understanding of the Bank's products, services, and risk appetite to ensure effective risk management.
  15. Adhere to all regulatory requirements and internal policies and procedures related to risk management.
Where is this job?
This job opening is listed as 100% remote
Job Qualifications
  • Strong Understanding Of Financial Markets And Products: A Global Markets Cva Risk Manager At Bank Of America Should Have A Deep Understanding Of Financial Products, Including Derivatives, Fixed Income, And Equities. They Should Also Possess A Strong Understanding Of How These Products Are Traded And Valued In Global Markets.

  • Experience In Credit Valuation Adjustment (Cva) Risk Management: The Ideal Candidate Should Have Several Years Of Experience In Cva Risk Management, Preferably In A Global Markets Environment. This Includes Knowledge Of Cva Methodologies, Pricing Models, And Market Risk Factors.

  • Risk Management Expertise: The Role Of A Cva Risk Manager At Bank Of America Requires Excellent Risk Management Skills. The Candidate Should Be Able To Identify, Assess, And Manage Market And Counterparty Credit Risk Associated With Cva Exposures.

  • Strong Quantitative And Analytical Skills: A Global Markets Cva Risk Manager Should Have Advanced Quantitative And Analytical Skills, Including Experience With Financial Modeling And Data Analysis. They Should Be Able To Identify And Interpret Trends, Patterns, And Anomalies In Large Datasets.

  • Excellent Communication And Teamwork Abilities: As A Member Of The Global Markets Team, The Cva Risk Manager Should Have Strong Communication And Teamwork Skills. They Should Be Able To Effectively Collaborate With Other Risk Managers, Traders, And Senior Management To Identify And Mitigate Cva Risks. They Should Also Have The Ability To Communicate Complex Risk Concepts To Non-Technical Stakeholders.

Required Skills
  • Financial Analysis

  • Stress testing

  • Credit risk

  • Portfolio Management

  • Risk assessment

  • Regulatory compliance

  • Capital management

  • Market trends

  • Hedging Strategies

  • Derivatives Knowledge

  • Counterparty Exposure

Soft Skills
  • Communication

  • Conflict Resolution

  • Decision Making

  • Emotional Intelligence

  • Leadership

  • Time management

  • creativity

  • Teamwork

  • Adaptability

  • Problem-Solving

Compensation

According to JobzMall, the average salary range for a Global Markets CVA Risk Manager is between $105,000 and $185,000 per year. This can vary depending on factors such as location, experience level, and the specific company or organization. It is also worth noting that bonuses and other forms of compensation may also be included in the overall salary package for this role.

Additional Information
Bank of America is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment for all employees. We do not discriminate based upon race, religion, color, national origin, sex, sexual orientation, gender identity, age, status as a protected veteran, status as an individual with a disability, or other applicable legally protected characteristics.
Required LanguagesEnglish
Job PostedMarch 26th, 2025
Apply BeforeJune 21st, 2025
This job posting is from a verified source. 

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About Bank of America

Bank of America Corp. is a bank and financial holding company, which engages in the provision of banking and nonbank financial services. It operates through the following segments: Consumer Banking, Global Wealth and Investment Management, Global Banking, Global Markets, and Legacy Assets and Servicing. The Consumer Banking segment offers credit, banking, and investment products and services to consumers and small businesses.

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