Senior Market Risk Manager

Reporting directly in to the CRO, you will responsible for overseeing the desk exposures relating to market risk across the Credit and Convertibles desk, which includes monitoring and managing the appropriate Market Risk exposure and developing new and consistent market risk management procedures across the business line.

You will be responsible for reviewing new trading strategies on request, providing daily monitoring of market risk exposures for the desk and VaR computation and analysis for each trading book, while conducting regular reviews of limits to ensure that they match the risk profile across the business.

To be considered for this opportunity, you will need experience of the following:

- Extensive Front Office Market Risk experience from either a Buy or Sell side environment, with proven ability to develop and maintain controls and procedures.

- Advanced knowledge and experience of the Credit and Convertibles market, with the ability to conduct detailed risk analytics and product pricing models.

- Excellent stakeholder engagement skills with the ability to build strong relationships across the business.

- Strong analytical and IT skills are required (Excel VBA, SQL an advantage).

If you are interested in discussing this opportunity in more detail, then send your CV without delay.

June 5, 2013 • Tags:  • Posted in: Financial

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