Clear Street
Overview
Clear Street is modernizing the brokerage ecosystem. Founded in 2018, Clear Street is a diversified financial services firm replacing the legacy infrastructure used across capital markets. We built a cloud-native clearing and custody system designed for today’s complex, global market, integrated with central clearing houses and exchanges to support billions in trading volume per day. We’re combining highly-skilled product and engineering talent with seasoned finance professionals to compete in today’s fast-paced markets. The Team:
Your team will own risk across Clear Street's business lines. As a PB Risk Manager, you will contribute to successfully creating, evolving, and executing risk frameworks and best practices. This is an impactful position that provides the opportunity to expand both your quantitative and client-facing skill-sets. You will cover US and international markets across multi-asset portfolios. Responsibilities
Serve as a primary point of contact for clients, engaging in discussions around portfolio onboarding, risk reviews, and ongoing risk management topics. Monitor intraday and end-of-day risk exposures and margin requirements across client portfolios. Track U.S. and international markets through OMS and risk systems, escalating material issues to senior management as needed. Develop and maintain robust margin, risk, and stress-testing methodologies. Generate and automate ad-hoc reporting to highlight key risk factors and portfolio exposures. Communicate critical risk observations with senior risk management and external clients. Support ongoing initiatives related to the development and enhancement of the firm’s risk and margin platforms. Collaborate with internal stakeholders, including technology and product teams, to improve risk management infrastructure and margin capabilities. Qualifications
At least five (5) years of professional experience in prime brokerage risk, trading risk, or related roles covering equities and fixed income, on the sell-side or buy-side. Minimum eight (8) years of overall professional experience in financial services. Bachelor’s degree in Finance, Economics, Mathematics, or Financial Engineering; Master’s degree preferred. Solid understanding of equity and fixed income products, including fundamental options pricing and associated risk measures. Familiarity with regulatory frameworks and capital/margin rules applicable to risk management. Proficiency in Python and SQL preferred. Strong communication skills, with the ability to engage confidently with clients and regulators. Proactive, collaborative, and a strong team player with a high sense of ownership. Demonstrated project management experience and the ability to work closely with engineering and cross-functional teams. Analytical and detail-oriented, with strong quantitative aptitude. Experience in risk policy development and implementation. Familiarity with industry-standard tools such as Bloomberg, ICE, FactSet, etc. We Offer
The Base Salary Range for this role is $175,000 - $250,000. This range represents starting base salaries and is influenced by factors such as experience, skills, and location. This figure is Base Salary only and does not include bonuses or equity, which are part of total compensation. We offer competitive compensation packages, company equity, 401(k) matching, gender-neutral parental leave, and full medical, dental, and vision insurance. In-office presence is required four days per week in our NYC office. In-office benefits include lunch stipends, fully stocked kitchens, and social events. Our top priority is our people. We foster a collaborative culture and are proud to be an equal opportunity employer. #LI-Hybrid Equal Employment Opportunity
Clear Street is an equal opportunity employer. We do not discriminate on the basis of any protected status under applicable law and we value a diverse, high-performance workforce.
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Clear Street is modernizing the brokerage ecosystem. Founded in 2018, Clear Street is a diversified financial services firm replacing the legacy infrastructure used across capital markets. We built a cloud-native clearing and custody system designed for today’s complex, global market, integrated with central clearing houses and exchanges to support billions in trading volume per day. We’re combining highly-skilled product and engineering talent with seasoned finance professionals to compete in today’s fast-paced markets. The Team:
Your team will own risk across Clear Street's business lines. As a PB Risk Manager, you will contribute to successfully creating, evolving, and executing risk frameworks and best practices. This is an impactful position that provides the opportunity to expand both your quantitative and client-facing skill-sets. You will cover US and international markets across multi-asset portfolios. Responsibilities
Serve as a primary point of contact for clients, engaging in discussions around portfolio onboarding, risk reviews, and ongoing risk management topics. Monitor intraday and end-of-day risk exposures and margin requirements across client portfolios. Track U.S. and international markets through OMS and risk systems, escalating material issues to senior management as needed. Develop and maintain robust margin, risk, and stress-testing methodologies. Generate and automate ad-hoc reporting to highlight key risk factors and portfolio exposures. Communicate critical risk observations with senior risk management and external clients. Support ongoing initiatives related to the development and enhancement of the firm’s risk and margin platforms. Collaborate with internal stakeholders, including technology and product teams, to improve risk management infrastructure and margin capabilities. Qualifications
At least five (5) years of professional experience in prime brokerage risk, trading risk, or related roles covering equities and fixed income, on the sell-side or buy-side. Minimum eight (8) years of overall professional experience in financial services. Bachelor’s degree in Finance, Economics, Mathematics, or Financial Engineering; Master’s degree preferred. Solid understanding of equity and fixed income products, including fundamental options pricing and associated risk measures. Familiarity with regulatory frameworks and capital/margin rules applicable to risk management. Proficiency in Python and SQL preferred. Strong communication skills, with the ability to engage confidently with clients and regulators. Proactive, collaborative, and a strong team player with a high sense of ownership. Demonstrated project management experience and the ability to work closely with engineering and cross-functional teams. Analytical and detail-oriented, with strong quantitative aptitude. Experience in risk policy development and implementation. Familiarity with industry-standard tools such as Bloomberg, ICE, FactSet, etc. We Offer
The Base Salary Range for this role is $175,000 - $250,000. This range represents starting base salaries and is influenced by factors such as experience, skills, and location. This figure is Base Salary only and does not include bonuses or equity, which are part of total compensation. We offer competitive compensation packages, company equity, 401(k) matching, gender-neutral parental leave, and full medical, dental, and vision insurance. In-office presence is required four days per week in our NYC office. In-office benefits include lunch stipends, fully stocked kitchens, and social events. Our top priority is our people. We foster a collaborative culture and are proud to be an equal opportunity employer. #LI-Hybrid Equal Employment Opportunity
Clear Street is an equal opportunity employer. We do not discriminate on the basis of any protected status under applicable law and we value a diverse, high-performance workforce.
#J-18808-Ljbffr