Director of Commodities Market Risk for a Top-Tier Investment Bank
My client is a leading investment bank based in Canary Wharf that is looking for an experienced Commodities Market Risk Director to join their division.
The person is responsible for leading and developing a team tasked with analysing movements and drivers of VaR, Stressed VaR, IRC and ERC down to the business line and product level, and to be able to discuss this level of detail within the Risk Management division to ascertain the trading strategy behind such positioning.
The ideal candidate must have:
- an excellent understanding of Risk Management Framworks
- an excellent academic record
- Expert level knowledge across a variety of products, primarily oil, gas and power
On offer: £100,000 - £120,000 basic salary plus excellent bonuses and benefits
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