**Fantastic Opportunity for a Risk Manager with a multi asset focus** recruitment
The ideal candidate will need to be able to understand the business goals and translate them into deliverable tasks.
Requirements:
• Good understanding of both Business, Quant and IT requirements for risk systems
• Strong knowledge of market data and derivatives across assets with a focus on IR and FX
• Proven track record working and / or developing risk systems for front and middle office for a Tier1 bank
• Strong knowledge of trade processing and life cycle
• Good quantitative background and understanding of risk measures and usage
• Good experience in PL explanation, scenario analysis and stress testing
• Strong academic background
• Strong analytical skills
• Well organized with good business planning and project management skills
• Good communication and interpersonal skills
Supplementary skills:
• Proven experience working with various risk reports
• Proven experience in hedging
• Knowledge of accounting for derivatives
• Good sense of innovation, creativity and challenging solutions as well
• Independent with propensity to taking initiatives
All enquires 100% confidential, please send your resume in confidence to r.holland@njfsearch.com