New Market Risk Manager
Closing date for applications is 30/08/2019
As a senior member of this Risk team, the Market Risk Manager will provide support and challenge to the various business units in their management of market risks.
Do you have the following qualifications and experience?
· Degree in a quantitative discipline (e.g. Maths, Economics, Engineering.)
· c 7 years’ experience
· Monitoring, measuring and managing substantial market risk
· Knowledge of Bonds, Repos, Loans, Deposits, Swaps, Short-term Paper
· Valuing complex products / illiquid products
· Risk methodologies such as VaR, Multifactor Stress Testing
If this sounds like you and you are contemplating a move, then get in touch.
Good salary on offer for the right candidate.
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