Senior Business Analyst – Market Risk Management – London recruitment
The new platform will provide more robust, scalable and maintainable applications for market risk VaR calculations, supporting key business strategies and reducing cost of system ownership.You will be required to provide business analysis expertise for the implementation and/or enhancement of one or more components in the new Market Risk Strategic Systems infrastructure. The role will also include test planning and support to facilitate user acceptance testing. Some project management experience will be required as you may be required to lead one or more of the strategic components if necessary. The Read more […]
Market Risk Management – Global Rates and Global Credit – VP recruitment
About Deutsche Bank A Passion to Perform. It’s what drives us. More than a claim, this describes the way we do business. We’re committed to being the best financial services provider in the world, balancing passion with precision to deliver superior solutions for our clients. This is made possible by our people: agile minds, able to see beyond the obvious and act effectively in an ever-changing global business landscape. As you’ll discover, our culture supports this. Diverse, international and shaped by a variety of different perspectives, we’re driven by a shared sense of purpose. At every level Read more […]
Market Risk Management, Rates and FX – VP / Director Level recruitment
Glenhill Group is recruiting on behalf of a top-tier bank for a senior market risk manager at VP or Director Level. The incumbent will be part of a regional and expanding organisation, leading a team of product managers. Your team will be expected to manage market’s trading activities and the available resources to support the risk management, performance, strategic and breakout objectives for Local Markets business in Asia, Europe and America. You will be required to identify all material risks, quantify using appropriate methodologies, as well as administer risk limits and policy; and ensuring Read more […]
VP, Market Risk Management, Investment Bank recruitment
Reporting to the Head of Market Risk Management and liaising with the European headquartered Risk Control team, you will be responsible for evaluating the integrity of all market risk data collected from regional businesses with the overriding objective being to establish a regional control framework. Key duties will be to assess information passing through front office systems, evaluate portfolio valuations, verify VaR calculations, perform stress test analysis and monitor existing limits and pricing issues. You will also need to work closely with Audit teams, Risk Managers and Finance teams in Read more […]