Analyst – Commodities & FX – Market Risk recruitment

 The Client:The firm’s headquarters are in London, with offices in Hong Kong and New York and the firm continues to grow rapidly, either organically or by acquisition, making this one of the most dynamic and progressive trading houses in London. The Role:   Joining a team of 15 in the Risk Department, you will principally be responsible for the daily risk management for trading activity of both proprietary and external clients trading, PL and positions to mitigate risk and protect the Company’s capital. DUTIES: Key responsibilities: • Intraday monitoring and management of Read more […]

April 21, 2010 • Tags: , , , • Posted in: Financial • Comments Off on Analyst – Commodities & FX – Market Risk recruitment

AVP – Market Risk recruitment

Key objectives include: Calculation, analysis and reporting of VaR (Value at Risk) and market risk sensitivities (delta, gamma, vega, theta etc) for bank-wide trading activitiesLiaise with Senior Market Risk Managers, Business Area Control, Finance to validate explain material risk moves in daily VaR sensitivitiesManagement of critical backtesting control process, involving daily comparison of calculated VaR to actual PnL across all business lines; including the Americas Regional reviewCalculation, analysis reporting of market risk stress tests and economic capitalImplementation VaR methodology Read more […]

March 9, 2010 • Tags: , , • Posted in: Financial • Comments Off on AVP – Market Risk recruitment

Equity Derivatives Product Control / Market Risk recruitment

The business is very much growing, with ongoing front office-driven investment in new products, systems and talented staff. As part of the wider Equity Product Control team, the businesses supported include Equity Derivatives, Short Term Equity Financing, Structured Notes, Property Derivatives and Proprietary Trading.Your responsibilities will include undertaking the substantiation and documentation of attribution methodology; reviewing market data; calculation maintenance of fair value adjustments; PL reporting, validation and the production of commentary.You will have a background in Product Read more […]

February 21, 2010 • Tags: , , • Posted in: Financial • Comments Off on Equity Derivatives Product Control / Market Risk recruitment

Senior Change Manager – Market Risk recruitment

My client, a Tier 1 Investment Bank has a requirement for a Change Manager to to join their Market Risk Change Management Group.Job DescriptionManages mid-size projects relating to corporate change initiatives that impact a single major business or function.Projects have:Major influence on the quality and timeliness of products or services, or impact the financial performance of the business unit; andRequire cross-divisional coordination, communication, influence and negotiation.Senior Change Manager is responsible for analyzing present-state, developing alternative future-state approaches and Read more […]

August 15, 2008 • Tags: , , • Posted in: Financial • Comments Off on Senior Change Manager – Market Risk recruitment