European OTC Clearing Risk Manager
Job Summary:
Strong knowledge of Interest Rate and FX financial instruments.
Strong undersatnding of VaR, Stress Testing, Collateral
Ability to analyse market and credit risk both internally and externally.
Strong undersatnding of the regulatory enviroment.
Strong communication skills and abilty to develop good relationships with the business.
Candidate Qualifications:
Strong Degree in a mathematical or quantitative subject.
Strong system skills VBA, Bloomberg and Excel
Extensive OTC background
Comprensive understading of Futures, FX, Bonds, Interest Rates etc.
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