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Project Manger (Market Risk) (F2F)

NextGen IT Inc.New York, NY🇺🇸United StatesPosted 9 Sept 2026

Why This Role Stands Out

This hybrid Project Manager role offers a fantastic opportunity to lead complex initiatives in investment banking and leverage your extensive experience with securities and derivatives. You'll thrive in this position if you possess deep domain knowledge and a proven track record of end-to-end project management, making this an excellent step in your career growth.

Quick Overview

Seniority
Mid Senior
Work mode
Hybrid
Location
New York, NY, United States
Posted
Yesterday
SQLSQL ServerSnowflakeDerivativesRisk Management

Job Description

Project Manger (Market Risk)

New York NY Hybrid Role (Face to Face interview)

Contract

(Only W2 or 1099)

 

Job Description :

 

Complex derivatives, SWAPS TRS Muni bonds interest rated derivativesDomain: Investment BankingOnly

Pure Project Manager with 15+ years Securities products - OTC DErivatives, Listed Derivatives, Cash, SFTs, Repos / Reverse Repos , IRS, FX exchange traded derivatives / commodities / interest rate swaps / CDS ( Credit default swaps) TRS ( total return swaps) End to End Project management - Front Office, Middle office, Back office Knowledge of Trade Entry, Trade Processing, Risk Metrics, VaR calculations, Reporting, Credit Risk, G/L, Data Warehousing, SQL Server, Data Bricks and Snowflake knowledge will be a plus Prior experience with Murex or Nuvo Prime is a huge plus Model Documentation, Matsuri , Sensitivities, Shock Records, Stress Scenarios,, RWA, SACCR.

 

Job Title: Senior Project Manager Securities / Derivatives

Domain

Investment Banking Securities & Capital Markets

Experience

13+ years of experience in Securities Products and End-to-End Project Management.

Role Summary

We are seeking an experienced Project Manager with 15+ years of Investment Banking and Securities experience, with strong expertise across OTC Derivatives, Listed Derivatives, Cash Products, Securities Financing Transactions (SFTs), Repos/Reverse Repos, FX, Interest Rate Derivatives, CDS, TRS, and Muni Bonds.

The candidate should have strong end-to-end project management experience across Front Office, Middle Office, and Back Office, along with a solid understanding of trade lifecycle, risk management, regulatory requirements, reporting, and financial systems.

Core Securities & Derivatives Expertise

  • OTC Derivatives
  • Listed Derivatives
  • Interest Rate Swaps (IRS)
  • Interest Rate Derivatives
  • FX / Foreign Exchange Derivatives
  • Credit Default Swaps (CDS)
  • Total Return Swaps (TRS)
  • Swaps
  • Securities Financing Transactions (SFTs)
  • Repo / Reverse Repo
  • Cash Securities
  • Municipal Bonds (Muni Bonds)
  • Complex Derivatives

Project Management Responsibilities

  • Lead end-to-end project management across Front Office, Middle Office, and Back Office.
  • Manage large-scale initiatives involving securities products and derivatives.
  • Coordinate requirements, delivery, testing, implementation, and production rollout.
  • Work closely with Trading, Operations, Risk, Finance, Technology, and Regulatory teams.
  • Manage project scope, timelines, dependencies, risks, issues, and stakeholder communication.
  • Drive cross-functional teams through the complete project lifecycle.

Thanks

Vignesh

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