Risk Senior Manager Equities

A leading global CCP seek a Risk Senior Manager with an expertise in Equities.

The ideal candidate will have a proven track record in the risk management of cash equities and equity derivatives with a detailed understanding of all issues pertaining to the market and credit risk associated with Equities and clearing. You should also possess solid knowledge and experience of market risk concepts such as SPAN margining, VaR (Value at Risk), sensitivities and stress testing.

To find out more information on the above role or for a confidential discussion please contact Tom Alcorn on call 0203 465 0115.

February 11, 2015 • Tags:  • Posted in: Financial

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