Commodities market risk manager required for tier 1 global investment bank-*Sign on offered* – London, UK recruitment

The market risk manager will have the following responsibilities:• Develop key relationships on behalf of the risk department with trading and other key business groups in the front office.• Risk management of key clients energy portfolios. • Development of risk methodology [Var, stress testing, scenario analysis].• Market analysis of commodity markets – keeping aware of any adverse market changes.• First point of contact for junior risk analysts and other areas of the business• Explaining key exposures and limits to trading unit.• Integration of global risk strategy with Read more […]

January 9, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Commodities market risk manager required for tier 1 global investment bank-*Sign on offered* – London, UK recruitment