FX Market Risk Analyst recruitment

Our client has a fixed term requirement for a Market Risk Analyst to manage monitoring of daily trading limits through the day.

- Identify, define and measure all market risks, FX Risk, counterparty risk, FX Collateral management

- Monitor front-office activity, control transactions, data management of the Front Office system etc...

- Monitor Counterparty, settlement and market risks

- FX Collateral Management reports

- Monitoring of FX Forward currency positions

- Ensure regulatory requirements are met

- Daily reporting to management

- Assist in development of new products

- Attend Risk Committees in absence of senior management

We require the candidate to have experience of working in a treasury environment in a Bank, Investment House, Broker, or Fund.

Core to this role is knowledge of Foreign Exchange products - spot, forwards, swaps, NDF's and FX Options. Experience of Thompson Reuters, Kondor+ and KGR is an advantage but not mandatory.

Please apply with an updated copy of CV to MC Partners.