Market Risk Reporting, Traded Credit recruitment

Responsibilities of the role to include the production of daily risk reports, as well as ensuring the completeness of reports generated (producing MI on any exceptions experienced). Generation and calculation of VaR numbers and managing VaR controls, limit monitoring and the build and running of data quality checks.The ideal candidate would come from a strong Market Risk background, with hands on experience of risk report production for use by Senior Risk Managers and the Front Office business. The candidate will also possess demonstrable experience of Traded Credit trading businesses and products Read more […]

July 12, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Reporting, Traded Credit recruitment

MARKET RISK REPORTING, ANALYST recruitment

 MARKET RISK REPORTING, ANALYSTThis global bank is seeking a top tier professional to join its risk reporting team based in Singapore. The incumbent will be responsible for the production of VaR reports, investigation and analysis, data integrity and strategic projects.The ideal candidate will have 1-2 years of experience in market risk reporting with strong VBA/Excel skills. Candidates with reporting experience for Emerging Markets or Credit products exposure will have a strong advantage. Excellent communication skills are essential.Interested applicants should email their CV toyimin.lam@robertwalters.com.sg Read more […]

June 18, 2012 • Tags: , , • Posted in: Financial • Comments Off on MARKET RISK REPORTING, ANALYST recruitment

Market Risk Reporting – Equity recruitment

Main DutiesTo be the point of contact for regional and global Risk Managers in relation to work carried out by MRE Production of daily VaR for the Equities Business, including resolution of queries and ensuring completeness of VaR. Production of daily risk reports for Senior Management, Front Office and Risk Managers, ensuring completeness and ensuring development of new reports meets MRE standards Building and maintaining relationships across the bank from Risk Managers to upstream systems. To ensure that policies and procedures are adhered to and standards raised, especially in relation to Key Read more […]

June 12, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Reporting – Equity recruitment

IB – Risk – Market Risk Reporting – Vice President – New York recruitment

J.P. Morgan is a leader in financial services, offering innovative and intelligent solutions to clients in more than 100 countries with one of the most comprehensive global product platforms available. We have been helping our clients to do business and manage their wealth for more than 200 years and we keep their interests foremost in our minds at all times. This combination of product strength, intellectual capital and character sets us apart as an industry leader. J.P. Morgan is part of J.P. Morgan Chase Co. (NYSE: JPM), a global financial services firm with assets of $2.0 trillion.The IB Market Read more […]

May 27, 2012 • Tags: , , , , , • Posted in: Financial • Comments Off on IB – Risk – Market Risk Reporting – Vice President – New York recruitment

Market Risk Reporting – Rates – AVP/VP – Tier 1 Investment Bank recruitment

Market Risk Reporting – Rates – Tier 1 Investment BankMy client, a Tier 1 Investment Bank based in Canary Wharf has a new vacancy in their Market Risk Reporting department, working on the Rates team.This is an excellent opportunity to join a market leading Tier 1 Investment Bank with an excellent reputation for Risk Management.Main functions of the role include:• To be the point of contact for regional and global Risk Managers in relation to work carried out by the production of daily VaR for the Rates Business, including resolution of queries and ensuring completeness of VaR. • Production Read more […]

February 17, 2012 • Tags: , , , , , • Posted in: Financial • Comments Off on Market Risk Reporting – Rates – AVP/VP – Tier 1 Investment Bank recruitment

Market Risk Reporting – Equities – Tier 1 Investment Bank recruitment

Market Risk Reporting – Equities – Tier 1 Investment BankMy client, a Tier 1 Investment Bank has a vacancy in their Market Risk Reporting Team covering Equities. This role is for a Manager for the Regulatory and Management risk reporting team in London, covering Global Equities. This is an exciting opportunity which will deliver extensive exposure to different trading strategies is use throughout the global equities trading business for the bank, including derivatives, algorithmic trading, and OTC trading. The position has arisen to replace a key individual and offers a great opportunity to learn, Read more […]

February 4, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Market Risk Reporting – Equities – Tier 1 Investment Bank recruitment