Market Risk Manager recruitment
I have an interesting opportunity for a candidate to join a boutique Investment Bank. Sitting on the trading floor and reporting to the Head of Risk IT, you will be required to manage the day to day Risk function with emphasis on PL and Risk across all Trading and Treasury functions. This is also an opportunity to further your management capabilities given the supervision training of junior team members is required.
Responsibilities:
- To measure market risk by dealer or desk
- To calculate and investigate differences in trading PL working directly with traders and desk heads
- Awareness of market pricing and trends in order to identify market risk
- To source pricing for valuation purposes
Skills:
- Educated to Degree standard with good Banking experience in a Risk/Middle Office environment.
- Accountancy background with good experience in an International Banking environment are welcome to apply.
- IT literate with advanced Excel skills
- A knowledge of Wall St or Front Arena would be advantageous
- A knowledge of Reuters and Bloomberg would be advantageous
- Exposure to a range of treasury instruments especially Bonds and Derivatives
If you would like to apply for this role or find out more, please apply online or contact Alex Longes at Robert Walters on Alex.Longes@robertwalters.com quoting the reference 1549250/CNU