Market Risk Manager, Insurance recruitment
The Company A fantastic opportunity has become available within our Insurance client’s Risk Management Team as a Market Risk Manager. This is an excellent chance to someone experienced applicant who is looking for the next step up in their career. The Role Reviewing, designing and managing the risk management framework; Minimizing the market risk, credit risk and regulatory risk; Reviewing and implementing policies and methodologies; Monitoring the market risks encountered by the business; Providing professional advisory and recommendation to senior management; and Assisting in ad-hoc projects Read more […]
Market Risk Manager – E*TRADE – Sydney or Melbourne recruitment
• Sydney or Melbourne CBD Location • Attractive Salary and Benefits • Expanding wealth business As one of the global leaders in banking and financial services, ANZ realizes that our greatest asset is our people. That is why we are creating a unique climate of inspiration, leadership, values and opportunity. ANZ Wealth and Private Australia provide a full range of financial products and services to help customers invest, grow and protect their wealth. Our specialist divisions; OnePath, E*TRADE, ANZ Private Bank, Investment Lending, Financial, Planning and Trustees are award winning Read more […]
Market Risk Manager, Commodities – Director Level recruitment
A Global Leader within the Commodities industry are looking for a Senior Candidate to head up their Market Risk Division in London. The successful candidate will have excellent knowledge of the Commodities products, and in particular the various oil products across the barrel. You will also need to have an excellent understanding of the underlying Risk Metrics, and possess a strong Quantitative element to your skill set. Some of the duties within this position will include:-Manage, develop and motivate the Market Risk Analysts within the team-Work in conjunction with your global peer group to ensure Read more […]
Market Risk Manager – Fixed Income recruitment
My client is looking to bring in an experienced Fixed Income Market Risk Manager to join the European Market Risk team based in London. The individual will work closely with the Front Office, Risk Controllers, Risk Managers and Model Validation Quantitative Analysts• Ideal grade: VP/D level or equivalent• Strong quantitative academic background with at least a postgraduate degree in mathematics or equivalent• Proven market facing experience in Rates market risk management• A key part of the role will be to risk manage the Rates business which mainly comprises European government bond trading Read more […]
Market Risk Manager – AVP recruitment
As a Market Risk Manager your skills and qualifications will ideally include Experience of risk management or trading of prime services and delta one strategies and a good understanding of risk measurement frameworks, particularly Value at Risk (VaR), Stressed VaR, IRC. Ideally, you will be educated in a numerate discipline and possess post graduate qualifications within a relevant field i.e. CFA, FRM, PRIMA.You need to be able to demonstrate proven experience within a market risk department of an investment bank, possess trong product knowledge and have some team management experience.As Read more […]
MARKET RISK MANAGER – EXPANDING INVESTMENT BANK:Ref:A&F-AZH-1028313 recruitment
REPORT TO THE HEAD OF RISK MANAGEMENTNEWLY ADDED HEADCOUNTEXCELLENT CAREER PROGRESSION PROSPECTOne of our fastest growing investment banking clients is now urgently seeking high calibre candidates to join their Risk Management Department as Market Risk Manager.As the key member of the team, you will be reporting directly to the Department Head and be responsible for building up the market risk capacity to better monitor the banks overall risk exposure and performance. You will be developing and implementing risk control framework and liaising with IT to get systems into place to enhance efficiency.To Read more […]
Market Risk Manager – Associate recruitment
Position Description Morgan Stanley is seeking a quantitative risk manager for its Market Risk department, based in London. The Market Risk Department (MRD) provides independent market risk oversight across the Firm’s trading activities. This encompasses risk monitoring and analysis, as well as reporting, capital calculation and regulatory functions.The role is primarily to provide analytical support to desk-facing risk managers in Interest Rates, FX and Emerging Markets. The role involves a diverse range of risk management responsibilities and provides exposure across the sales and trading Read more […]
Market Risk Manager – Rates – Tier 1 Investment Bank recruitment
Market Risk Manager – Rates Options – Tier 1 Investment BankExcellent opportunity to join a Tier 1 Investment Bank as a Front Office Market Risk Manager for their Rates Options business.Situated on the Trade Floor, this role will cover the structured Fixed Income Trading desk. The successful candidate will have detailed Rates knowledge and experience and will have daily interaction with traders, and so should understand the Rates market well and the motivation behind certain positions being taken.Candidates need Market Risk experience with Interest Rates, strong Excel skills, exposure to Time Series Read more […]
Market Risk Manager – Commodities recruitment
Working alongside the rest of the team, you will be responsible for the market risk advisory and control of the trading activities carried out within the Asia region. In addition, you will analyse, monitor and manage the market risks of the client’s trading books. You will be required to work closely with trading managers, traders, marketers and other risk professionals within the region.In this role, you will perform risk analysis into new and existing trading activities, including VAR computations, sensitivity and scenario analysis, stress-testing etc. You will also be required to review Read more […]
Market Risk Manager – Strategic VaR recruitment
The role is for a Market Risk Analyst within the cross-asset class VaR team. You will be able to analyse movements and drivers of VaR, Stressed VaR, IRC down to the business line and product level, and work with the wider business units to drive the market risk strategy internally. They are looking for someone who can look at the bigger picture; you will work with the business to advise them on their day to day portfolio exposure and make recommendations on capital allocations.Responsibilities include:Facing off to key stakeholders (i.e. Treasury, Finance Front Office) to explain at a level suitable Read more […]