Market Risk Management – Director

My client, a Tier 1 Investment Bank has a requirement for a Director Level Market Risk Manager with experience of driving through strategic change and exposure to Tier 1 Market Risk Departments.

The role reports into the Global Head of Market Risk for Rates/FX/EM/Commodities/IB Treasury and will deputise for this function at key committees.

The role is a peer with the individual Asset Class heads. It is a role is varied and broad and will cover reviewing Risk Policies and Procedures, investigation of Risk Incidents, investigating topical areas of Risk, driving process change at an asset class level and supporting Regulatory driven change.

Requirements:

- Market Risk Management experience in a top tier Investment Bank

- Excellent understanding of Cash Derivative products

- Project experience

- Excellent senior stakeholder management experience

- Strong problem solving skills

- 1st class communication skills

Please get in touch with Alex Cosgrove or Josh Lawson for more info.

September 16, 2013 • Tags: , • Posted in: Financial

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