Market Risk Manager FIC, AVP
Market Risk Manager FIC, AVP
The Client
- International bank with its headquarters in the US
The Role
- Production and analysis of risk reports.
- Dealing with new product requests.
- Development of risk related tools to strengthen different processes.
- Manage FO relationship and check limit enforcement.
The Future
- Possibility to work on other risk related topics
- Opportunity to coach junior people rotating on different desks
Candidate Specification
- 5 to 7 years of market risk management experience in IR and FX products
- Understanding of the Greeks sensitivities and their behavior.
- Perfect knowledge of VAR calculation and stress testing methodologies.
- Ability to work in a multicultural team.
- Required knowledge of Excel VBA.
- Fluency in English is mandatory.
- FRM will be appreciated.
Qualified and interested parties please apply with your CV and latest salary in Word format.
Please note, that while MRIC welcomes and appreciates all candidate response, volume of replies allows us to respond to short-listed candidates only. Resumes are collected for recruitment purposes only.
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