Market Risk Manager, Money Markets
Market Risk Manager, Money Markets
The role will have the responsibility for the day-to-day market risk control duties for Money Market Desks, including the analysis and reporting of market risk exposures as well as for understanding the PL and its relationship with the risk on these books.
Skills Required:
- Relevant degree in a numerical/statistical subject
- Strong understanding of market risk metrics (VaR, stress testing, NII)
- Strong understanding and experience in dealing with treasury products (repos, bonds, interest rate swaps, cross-currency swaps etc)
- Strong communication skills ability to liaise across different business units with senior stakeholders
Leave a Reply
You must be logged in to post a comment.