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Fixed Income & Rates Market Risk Manager, London
- UK - London - London
- 75000
- Full-Time Permanent
- Financial Services - Equities
- 25-08-08
Job Description
The role will involve the following:
• Develop and maintain close relationships with trading desks and senior trading management
•Ensure all current and potential P&L drivers are fully understood
• Review daily market risk reports for accuracy and provide ad hoc analysis and commentary
• Perform key risk reviews and summaries for senior risk and trading management
• Enhance existing risk methodologies and risk capture (sensitivities, VaR, scenarios, economic risk capital)
• Ensuring full appreciation of risk on all new products and transparency of trading/hedging strategies
The ideal candidate will possess the following:
• Degree in Maths, Finance or other quantitative discipline likely although not essential if relevant market experience
• Solid experience working in a risk management role or equivalent markets experience
• Strong knowledge of products including derivatives
• Understanding of VaR and other risk measurement frameworks
• Excellent Excel spreadsheets and general systems skills ideally VBA
Leading Emerging Markets Investment Bank
Excellent Package
Michael Page International is a world leading recruitment consultancy.
• Develop and maintain close relationships with trading desks and senior trading management
•Ensure all current and potential P&L drivers are fully understood
• Review daily market risk reports for accuracy and provide ad hoc analysis and commentary
• Perform key risk reviews and summaries for senior risk and trading management
• Enhance existing risk methodologies and risk capture (sensitivities, VaR, scenarios, economic risk capital)
• Ensuring full appreciation of risk on all new products and transparency of trading/hedging strategies
The ideal candidate will possess the following:
• Degree in Maths, Finance or other quantitative discipline likely although not essential if relevant market experience
• Solid experience working in a risk management role or equivalent markets experience
• Strong knowledge of products including derivatives
• Understanding of VaR and other risk measurement frameworks
• Excellent Excel spreadsheets and general systems skills ideally VBA
Leading Emerging Markets Investment Bank
Excellent Package
Michael Page International is a world leading recruitment consultancy.
- Andrew Gibson
- MPFP13005308
