Senior Market Risk Manager – Treasury recruitment
Forward thinking global Banking icon – Market leading teamHigh profile and strategically focussed role with leadership potentialAbove market average package and conditions.Our client is a major global Banking organisation experiencing continual market share growth and expansion. As such, they now seek a highly driven front office Market Risk professional to step into their leading Global Risk team to support the front office with a diverse spectrum of risk frameworks. Offering broad and detailed risk advice across a diverse range of treasury markets, derivatives and transactions undertaken by Read more […]
Senior Market Risk Manager – Interest Rate recruitment
Top Financial Institute is seeking an experienced Market Risk Manager to join its Risk Team and assist with the management interest rate related work. The successful candidate will be required to manage the risk new products, and interest rate products Previous experiences in Market Risk Management of Interest rate products including Interest Rate swaps, Repos, and Market Bonds is necessary, as is experience in Management of a team of Risk Analysts. Candidates must have very strong analytical skills and at least degree level qualifications ideally in a quantitative related field. Read more […]
Senior Market Risk Manager – Credit Spread recruitment
Main responsibilities will include:• Ensure that robust controls are in place to so that the market risk for the Credit Trading desks is adequately identified, monitored and managed• Analyse the books’ risk profile, review daily market risk reports with a focus on significant risks, including obligor concentrations and basis risks.• Provide detail commentary on the current risk profile, including analysis of changes and emerging trends.• Pro-actively monitor risk limit utilisations, identify, escalate and resolve limit breaches.• Represent Market Risk in various forums, e.g. new Read more […]