Market Risk Manager – Non-Traded / Balance Sheet Risk recruitment
Global Investment Bank, New York
Market Risk Management
KEY SKILLS EXPERIENCE:
- 3-5yrs in market risk management
- Strong exposure of banking / treasury and balance sheet market risk
- FX / FXO experience essential, Commodities experience desirable
- Liquidity management experience
- Degree educated in Economics, Maths, Statistics or a similar field
- Very strong communication / decision-making skills
- LATAM experience advantageous
March 14, 2012
• Tags: Balance Sheet Risk recruitment, FX & Money Markets careers in the USA, Market Risk Manager – Non-Traded • Posted in: Financial