• Vice President Jobs in New York City

  • Morgan Stanley Pvt Ltd
  • New York City, New York
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  • 0 - 3 Years
  • Posted : above 1 month

Job Description:

Vice President

Job Number 3127832

Primary Location Americas-United States of America-New York-New York

Job Credit Risk

Employment Type Full Time

Job Level Vice President


Morgan Stanley Services Group Inc seeks a Vice President in New York, New York

Perform quantitative and qualitative credit analyses of Morgan Stanleys lending and traded products counterparties, with a specific focus on the oil and gas industry Participate in the structuring and approval of transactions after analyzing the risk in various loans or complex derivative transactions Present views to senior credit officers for approval if trade size is outside own authority Collaborate with other departments including capital, accounting, market risk, CVA, risk analytics, and reporting to ensure accuracy of exposure calculations for all transactions and report and escalate cases of anomalies Run exposure calculations utilizing Monte Carlo simulations Monitor, manage, and report exposures using Morgan Stanleys internally developed Qlikview reports Negotiate and approve credit related terms in document that covers financial commodities derivative trading or physical natural gas and precious metals transactions Monitor the document repository system (Docpoint) to ensure that the correction information will flow downstream into credit databases that feed into RiskVision and Credit Risk Portal Ensure that company guarantees meet Basel regulations Author credit reviews based on the counterparty financials, business risk, industry and market position as well as any other relevant public and private information that can affect the probability of default and the resulting credit rating Assess valuation of oil and gas reserves, per barrel economics, and basis risk stemming from infrastructure constraints Review credit analysis performed by Analysts and Associates on the team Provide trainings and guidance for Analysts and Associates covering derivatives, commodity markets, and software used by credit professionals Monitor counterparties for material changes in credit quality by reading through alerts, relevant news sources, and third-party research



Requires a Bachelors degree in Business Management, Business Administration, Finance, or related field of study and three (3) years of experience in the position offered or three (3) years of experience as an Analyst, Associate, or related occupation in financial services Requires three (3) years of experience with corporate finance modeling including oil and gas reserve based models Will accept any amount of experience with credit related terms within ISDA/CSA/NAESB; market-specific standards in financial derivatives; physical commodities trading; structuring bespoke commodity derivative transactions; petroleum engineering concepts; and financial statement analysis with deep knowledge of US GAAP/IFRS Requires Chartered Financial Analysts (CFA Institute), Financial Risk Manager (GARP), and Energy Risk Professional (GARP) certifications

Qualified Applicants

To apply, visit us at http//wwwmorganstanleycom/about/careers/careersearchhtml Scroll down and enter 3127832 as the Job Number and click Search jobs No calls please EOE

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Profile Summary:

Employment Type : Full Time
Eligibility : Any Graduate
Industry : Financial Services/Stockbroking
Functional Area : Banks/Insurance/Financial Services
Role : Risk/Credit/Economic Analyst
Salary : 200000-400000 P/A
Deadline : 29th Sep 2019

Key Skills:

Company Profile:


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