Financial Risk Manager recruitment
Reporting to the Head of Financial Risk, this role will provide detailed challenge and guidance across the board in market risk, credit risk and liquidity risk specifically for derivatives products. As part of the second line of defence the role will play a key role in establishing the policies and minimum standards in relation to market and credit risks and oversees the implementation. My client is looking for strong derivatives products experience acquire in asset management or Pension Funds in a first line or a second line role. A knowledge in retail Read more […]
Financial Risk Manager recruitment
Financial Risk Manager Our client, a leading financial services organisation, is seeking a Financial Risk ManagerYou will be required to manage the financial (credit, counterparty, liquidity and market), regulatory and modelling risk to the business as well as supporting the business in the development and maintenance of the companies risk, compliance and governance framework.Main responsibilities :- Develop and maintain the risk framework in accordance with Group risk and compliance policies, regulatory requirements and market best practice.- Risk identification, quantification and control assessment Read more […]
Financial Risk Manager recruitment
In this role as a Financial Risk Manager, you will join a team of highly-qualified and focused professionals, where you will manage and ensure that risk, quality assurance, control and management activities are carried out consistently. Responsibilities include identifying, developing and implementing further enhancements and you will manage several risk projects, as well as develop concepts and presentations. The right candidate will also support and manage the risk and IT reporting teams.The successful candidate should have- A university degree such as Economics/ Maths/ Physics Read more […]
Financial Risk Manager recruitment
Maintain the ICAAP framework for the entities in the APAC region, update evolving capital requirement for the various APAC entities.Ensure the risk management framework for the APAC region is managing and monitoring basic risk measures, such as margin settings, stop-out levels, counterpart exposure, in a satisfactory and transparent manner.Liaise with relevant regulatory bodies, financial advisers and the Legal and Compliance department to ensure current reporting practices meet regulatory reporting requirements.Technical and conceptual support (within APAC region) Development. Review, Read more […]
Financial Risk Manager recruitment
In dieser Anstellung leiten sie ein team im Finanz Risiko bereich, und sind dafür verantwortlich das gesamtrisiko des Bankes zu analysieren. Sie arbeiten mit kompetente arbeitskollegen in einem dynamischen Umfeld. Zu Ihren täglichen Aufgaben gehören: • Bewertung und Messung des Bank Handelssystems und Risiko Bewertungsmodellen • Entwicklung von internen Risikomessung Methoden. • Überwachung des Gesamtbankrisikoprofils. Sie bringen mit:• Ökonmie oder Finanz ausbildung mit einer höheren ausbildung (PhD, CFA).• 5-10 Jahre arbeitserfahrung im Finanz bereich ins besondere im Risikobereich.• Management Read more […]