Market Risk Manager recruitment
Market Risk Manager Your responsibilities will therefore include, but are not limited to: • Responsible for the risk management application: ensuring an adequate modeling of the main risk factors of each portfolio’s holding and monitoring of data flowsIn the context of market risk management:evaluate risk analysis at the portfolio level, backtesting and stress testing of funds and preparation of management reportFinancial risk reportingSupport the operational risk managementOur ideal candidate must Read more […]
**Market Risk Manager** recruitment
You will have a good knowledge in paper products (swaps, futures, options) and also trading of crude oils and refined products. A preferred candidate is one with experience in commodity trading in Asian markets including derivative products. You may come from a commodity trading environment in risk management and have an appreciation of mathematics analysing risk residing in the trading portfolio. You will assist in daily reporting of exposure and PL. You will also have the opportunity to be involved in developing and implementing new systems and reporting processes. For more details and a confidential Read more […]
Market Risk Manager recruitment
Dans le cadre de son développement dactivité et de sa croissance dans le domaine du Risk Management, nous recherchons pour un cabinet de conseil du BIG 4 un Market Risk Manager.Au sein du département Risk Management et sous la direction du Directeur Associé, vous managez une équipe d’Ingénieurs Consultants et vous avez les responsabilités suivantes : Compétences techniques : – Management des équipes de consultants et des missions.- Auditer les modèles de valorisation utilisés pour les produits dérivés (produits sur taux, actions, change, crédit, etc.)- Mesure de la robustesse des Read more […]
Market Risk Manager recruitment
The incumbent will be responsible for directly advising traders and portfolio managers on the anticipated impact of trades on both the trading and banking books. The focus will be on Structured and Derivatives Rates products as well as underperforming commercial loans. The portfolio management team has received a mandate to unwind a distressed assets portfolio. As such communication and reporting to third party clients on the sound execution of trades is pivotal.The team is among the best performing within the group and as such offers many internal progression opportunities as wel as a stable Read more […]