Commodities Market Risk Manager – Tier 1 Investment Bank
My client, a Tier 1 Investment Bank has a requirement for an AVP level Front Office Market Risk Manager to support the Commodities Trading Desk.
The successful candidate will join a highly skilled team of 12 Market Risk Managers that sit on the trading floor providing Market Risk analysis for the traders.
The duties consist of:
- Manage VaR and non-VaR thresholds
- Work on new product approvals and large/complex transactions
- Monitor and understand liquidity and performance
- Research global commodities markets
- Support projects affecting the tram.
Requirements:
- Experience in a top tier instution as a Commodities Market Risk Manager
- Quantitative educational background in Mathematics, Physics, Quant Finance, Engineering or Econometrics
- Strong VBA skills
- Excellent understanding of the Commodities Markets and Market Risk
Please get in touch with Alex Cosgrove for more information.
Leave a Reply
You must be logged in to post a comment.