AVP – Tier 1 Bank – Treasury / Balance Sheet Risk recruitment

An excellent AVP level opportunity has arisen with a Tier 1 investment bank in London in Treasury.The overall purpose of the role is to ensure the efficient allocation and use of balance sheet capacity and capital.More specifically, your responsibilities will be:- To optimise balance sheet structure (identify and manage risks pertaining to assets and liabilities, develop funds transfer pricing and design price products)- To measure and manage the balance sheet risk profile (assess liquidity risk, mitigate retained risks, assess the impact of regulatory changes and assess true liquidity costs Read more […]

July 10, 2012 • Tags: , , , , • Posted in: Financial • Comments Off on AVP – Tier 1 Bank – Treasury / Balance Sheet Risk recruitment

Market Risk Manager – Non-Traded / Balance Sheet Risk recruitment

Global Investment Bank, New YorkMarket Risk Management KEY SKILLS EXPERIENCE: 3-5yrs in market risk management Strong exposure of banking / treasury and balance sheet market risk FX / FXO experience essential, Commodities experience desirable Liquidity management experience Degree educated in Economics, Maths, Statistics or a similar field Very strong communication / decision-making skills LATAM experience advantageous

March 14, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Manager – Non-Traded / Balance Sheet Risk recruitment