VP, US Cash Equities Risk Manager

Jefferies Financial Group ‚Ä¢ New York, New York ‚Ä¢ Full Time ‚Ä¢ $175,000–$200,000 / year

Posted on Sat, Aug 8, 2026

Description

Based in New York, as part of a global team, the Risk Manager will have responsibility for second-line oversight of the US Cash Equities business, including facilitation, portfolio and index trading, ETF, convertibles, securities finance desks.

With the help of Jefferies risk policies and the overarching Risk Management Framework, and in compliance with relevant Risk Appetite Statements, the team works directly with the business and in partnership with second-line partners. The role is responsible for ensuring that risks arising from cash equities, convertibles, and securities finance desk activity are identified, understood, captured, reported, escalated as required, and managed within risk appetite.

The successful candidate should combine strong product and trading-risk knowledge with an appreciation of the wider regulatory and governance environment across risk management. This includes understanding how market risk decisions interact with credit and counterparty risk, liquidity risk, operational risk, conduct risk, technology and data controls, new business review, limit governance, audit, regulatory expectations, and senior committee escalation.

The role reports directly to the CRO of Equities and works closely with colleagues across Global Risk Management, Equities Trading, Sales, Product Control, Finance, Operations, Technology, Compliance, Credit Risk, Audit, and other control functions.

Key Responsibilities

Experience, Skills and Qualifications

Primary Location Full Time Salary Range of $175,000 - $200,000 



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