Senior Market Risk Reporting – Manchester recruitment

This leading investment bank has the Risk Reporting team based in Manchester and are looking for a Senior Manager to supervise the team.

This role offers potential candidates a Market Risk Control job at a top investment bank and features interactions with London trading desks, credit risk and other middle office control departments. Candidates will also be exposed to very complex derivative products. Duties will include:

- Supervising a team of risk analysts

- VaR calculation, analysis and reporting

- Monte Carlo simulations, stress and back testing

- Developing new risk reporting tools

- Creating Market risk reports to ensure positions are within limits

- Explanation of risk processes and strategies with senior management, trading desks and pricing and valuations groups

- Working across various departments to refine existing systems and processes

The successful candidate will be possess a numerate degree, postgraduate level would be desirable, from a well-recognised institution. Relevant financial experience within market risk or risk analysis and an understanding of derivative products. A strong background in the control environment is required. Candidates should also possess strong technical competency with Excel and VBA. This role will feature frequent interactions across the business so a candidate should possess strong communication skills with the ability to take charge of issues and head up a team.

This is an exceptional opportunity, if interested promptly apply online or call Khalid Al-Sada on +44 (0) 207 469 8955

All calls will be dealt with the strictest confidence.