Market Risk Manager – Philippines 1 year Fixed Term contract or ongoing permanent opportunity recruitment

A leading bank is off shoring a division of its market risk reporting to the Philippines and require a manager to be part of the transition and also management of the 20 consultants for the first year of the move. Previous experience off shoring or outsourcing to international locations is required and also management of risk reporting teams. You do not need to be a leading expert on Market Risk but must understand VAR and FX reporting. 

You will have overseen teams with a focus on reporting globally and understand the difficulties with new teams and obstacles in delivery. Any Market Risk aggregation knowledge would also be advantageous. You will have business and technical skills with strong stake holder engagement and project management knowledge. 

 If you are coming from an IT background with the relevant Market Risk exposure it could be a possible transition but a hands on knowledge of Market risk reporting / management is imperative. 

Immediate interviews in the UK and excellent living allowance bonus available