Market Risk Management
Role
The main purpose of the position is to act as the Head of Risk Management for London Equity Equity Derivatives. The reporting line is into the Global Head of Market Risk for Equities.
Duties will include, but not be limited to:
- Liaison with traders and heads of business regarding the risk appetite of, and measures in, the investment bank.
- Setting Market Risk limits and enforcing them.
- Reviewing all new products and structures to assess material risks and to ensure robust risk management over their life cycle.
- Participate in stress testing and the explanation of results, adding new scenarios where necessary.
- Provide learned advice to Senior Management regarding risk-related regulatory and controls matters.
Candidates must have:
- Equity Derivatives experience (either through risk or trading or IPV or Finance).
- Convertibles experience.
- Knowledge of Prime Brokerage.
- Senior stakeholder management skills.
- A diplomatic but firm approach to risk management.
Applicants
Please send your CV to louis.altman@investigo.co.uk
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