About the job Market Risk Manager
Our client is looking for a Market Risk Manager to join their expanding team in London. The Manager will have the opportunity to work on a variety of complex and high-profile projects, with some of the largest financial institutions globally, focusing on traded products and a wide stakeholder landscape across Front office, Risk, Model development and validation, Finance and Technology functions.
Key Responsibilities:
Our client is looking for a Market Risk Manager to join their expanding team in London. The Manager will have the opportunity to work on a variety of complex and high-profile projects, with some of the largest financial institutions globally, focusing on traded products and a wide stakeholder landscape across Front office, Risk, Model development and validation, Finance and Technology functions.
Key Responsibilities:
- Participating in Risk engagements with a Market and/or Counterparty credit risk focus
- Working effectively as a team member sharing responsibility, providing support, maintaining communication, and updating senior team members on progress
- Assisting in preparing reports and schedules that will be delivered to clients and other parties
- Strong academic background including at least a 2.1 Bachelor's degree
- Professional qualification e.g. CQF / CFA / FRM / PRM
- Demonstrable, relevant experience in Financial Services
- Experience in any of the following: VBA/ Java / C++/ SQL/ R / Matlab / .NET and reporting and project management tools (Tableau, MS Project etc.)
- Good understanding of Derivative Pricing, Market and CVA methodologies
- Good understanding of risk and controls, risk appetite, risk framework and policies, target operating model and governance, traded risk measurement and monitoring, internal model permissions, and regulatory interactions
- Project management and report writing experience
- Experience in stakeholder and client management