Market Risk Manager / Associate Director (Fluent in Japanese) recruitment
Core responsibilities:
Identify, measure and monitor market risks and funding liquidity risks
Prepare risk management reports and supporting analysis on the positions held by the bank’s treasury and trading division
Carry out / review the business cycle that Sarbanes Oxley controls
Source and validate independent and relevant market data for revaluations and risk modelling
Requirements:
Fluent Japanese
Bachelor Degree
Previous significant experience in market risk management, including PL and VaR analysis
Strong cross asset knowledge of financial products (particularly FX and interest rate products)
Advanced level in MS Excel
VBA or SQL is very advantageous
Please apply online or e-mail us directly at ginko@jac-recruitment.co.uk quoting reference number TK6699