Risk Manager, Cross Asset Derivatives
Schonfeld
São Paulo
Workplace: OnsiteFull timeFunction: Legal, Risk & ComplianceExperience: 5+ yearsSkills: ["Communication","Teamwork","Problem-solving"]Risk Manager responsible for oversight of Cross-Asset Derivatives risk, including Equity Derivatives, Macro EM and Delta One strategies. You will build and validate models, monitor portfolios, collaborate with PMs, Strats and tech, and develop analytics to quantify risk, optimize performance, and reduce tail risks across multi-strategy platforms.

