In business FO risk manager recruitment
Introduction
This is a strategically important role for this major European bank. At Director level, you will report directly to the Global Head of FIC trading . You will be seen as the FO risk expert, with direct responsibility for managing and monitoring Daily Positions, PL issues, Funding/Liquidity, Advice on Marco/Strategic Hedges. In other words the eyes and ears of the global head of trading in all FO matters relating to risk across all major asset classes
Skills and experience
- You will be appointed team head with 2-3 team members so team management experience useful
- Direct experience of sell-side trading, ideally in rates and perhaps with an exposure to credit trading
- Minimum 5 years trading experience in rates, exotic products and/or credit
- Highly analytical and proactive, you will want to take on a role as opinion leader in Front-Office market risk topics.
- You are somebody who will have a jump-start in the market-risk topics based on what you have seen before
This opportunity provides an excellent opportunity to leverage your cross asset trading experience and knowledge of risk management to help drive the development of a global trading operation, with direct line of communication to the global head of FIC trading