Market Risk Manager FX recruitment

Risk Job – Market Risk Manager – Foreign Exchange (FX) A top tier European bank based inCanaryWharfis looking for someone with the relevant experience to assist in the implementation of market risk methodologies, principally VaR, by analysis of VaR impacts and a detailed understanding of the model inputs. The bank is undertaking several key projects to implement a number of Risks not in VaR (RNIV) methodologies in to the market risk model. Responsibilities include: Working with Senior Risk Managers and Quants to develop FX VaR methodologies Performing self led analysis into the pros and cons of Read more […]

August 19, 2012 • Tags: , • Posted in: Financial • Comments Off on Market Risk Manager FX recruitment