Market Risk Manager- FX

A Great opportunity has arisen for a experienced Market Risk professional to join a leading European Bank. This is a permanent opportunity to assist deliver innovative risk solutions and management of trading. The organisation has a great reputation for staff development and the ability to offer a great career path.

The key criteria required for this role include:

- You will need a minimum of 4 years Market Risk experience
- Experience of FX, Exotics/ Pricing verification from a Market Risk perspective is crucial
- You must be resilient enough to deal with complex systems which require development and at times can be fragmented

Previous Market Risk experience dealing with FX is key.

Please apply in confidence immediately if you feel that you meet the above criteria.

May 3, 2013 • Tags:  • Posted in: Financial

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