OTC Clearing Risk recruitment
We are looking for a self-motivated individual, with solid risk management experience in Rates, FX and Credit Derivatives to head up our clients' London OTC Clearing Market Risk group.
Responsibilities
- Manage existing clients' contingent market risk by reviewing daily positions, stresses and sensitivities.
- Manage the OTC Clearing Risk EMEA team, ensure consistency of margin and limits approaches between NA and EMEA regions.
- Interact with clients, credit, sales, legal and solution teams on setting margin parameters, limits and other risk terms for new clients.
- Develop and implement new risk measures and margin methodologies for new products.
- Approve or reject limits excessions and requests for limits increases. Provide direction to the team in investigating and resolving client margin disputes.
- Engage with exchanges on new clearinghouse margin methodologies, critique and provide comments on their proposals.
- Set priorities for the technology teams supporting risk and margin calculations.
- Proactively communicate risks to senior management in the business, market risk and credit.
Qualifications
- Deep understanding of derivatives products valuation, sensitivities and stresses.
- Must work well with external clients and internal colleagues of all levels, and be able to communicate effectively
- Attention to detail; self starter
- Graduate with a degree in a business related discipline preferred with a wealth of related experience, MBA a plus
April 2, 2012
• Tags: FX & Money Markets careers in the UK, OTC Clearing Risk recruitment • Posted in: Financial