Market Risk Manager recruitment
The incumbent will be responsible for directly advising traders and portfolio managers on the anticipated impact of trades on both the trading and banking books. The focus will be on Structured and Derivatives Rates products as well as underperforming commercial loans.
The portfolio management team has received a mandate to unwind a distressed assets portfolio. As such communication and reporting to third party clients on the sound execution of trades is pivotal.
The team is among the best performing within the group and as such offers many internal progression opportunities as wel as a stable environment.