Product Specialist-counterparty Credit Portfolio Management-funds

Bank of America Bank of America · Banking · New York, NY

This role is a Funds Portfolio Manager within Bank of America's Global Markets Credit division, focusing on counterparty credit risk for Hedge Fund and Regulated Fund portfolios. The primary responsibilities include creating, maintaining, and improving reports and data analysis, evaluating credit and market risk, and collaborating with various teams. While the role is expected to leverage existing AI solutions for efficiency, it does not involve building or developing AI models.

What you'd actually do

  1. Assist with preparing critical risk overviews with accuracy and timeliness to support a strong risk monitoring environment
  2. Develop a strong understanding of Hedge Fund and Regulated Fund credit underwriting and monitoring process, as well as the stress testing framework and methodologies employed to the trading portfolio; identify and help implement opportunities to enhance efficiency
  3. Enable proactive risk management by evaluating credit risk, market risk/sensitivities, and stresses; partner with the broader team to produce recurring portfolio level and counterparty based combined credit and market risk reporting
  4. Collaborate closely with Credit Officers and other stakeholders to refine, adapt, or create specialized reporting/monitoring, data analysis, and data solutions in a fast paced, evolving environment
  5. Leverage AI solutions available bank-wide to drive efficiencies and reduce operational risks, ultimately resulting in time savings

Skills

Required

  • counterparty credit risk
  • market risk
  • credit portfolio management
  • traded products portfolios
  • Hedge Funds
  • Regulated Funds
  • potential future exposure
  • stressed exposures
  • margin
  • trading sensitivities
  • trading agreements
  • ISDA
  • GMRA/MRA
  • FIA
  • PB
  • traded products
  • Prime Brokerage
  • synthesize complex data sets
  • SQL
  • Word
  • Excel
  • PowerPoint
  • VBA
  • Tableau
  • Alteryx
  • Python

Nice to have

  • Data Collection and Entry
  • Data and Trend Analysis
  • Price Verification and Valuation
  • Research Analysis
  • Analytical Thinking
  • Collateral Management
  • Issue Management
  • Policies, Procedures, and Guidelines Management
  • Negotiation
  • Research
  • Risk Management
  • Valuation Ethics and Practice Standards
  • Vendor Management