Team Leader Market Risk and Portfolio Management, Top Tier bank (Bradenburg Based) recruitment
My client is expanding its Market Risk and Portfolio management team and is currently searching for a senior manager to lead the team.
The team covers both quantitative and qualitative risk managemanet across a variety of asset classes (e.g. equities, credit) and regularly liases with counterparties in New York and London.
Daily Tasks include:
• Perform quantitative and qualitative analysis of Economic Capital, VaR and PL including the data inputs to the model.
• Liaising with the counterparties in New York and London as the most senior market risk manager representing the Berlin office.
• training Junior analysts and overseeing their project work.
Requirements:
- degree educated in Economics / Mathematics / Physics.
- Several years working as a Market risk manager in a banking or consulting environment.
- preferably already managing a team or at senior manager level with the potential to become a team leader.
- Fluency in English is an absolute must and German is a plus.
Interested ? Apply now to risk@carltonseniorappointments.com