Market Risk Manager – VP

Investment Banking, London. Full time with flex
Reference: A/12770

• Looking for someone with experience in FX, Emerging Markets (rates and FX) and/or Credit
• To monitor risk on and report on risk positions, limit breaches and stress testing results.
• Identify and investigate changes to risk profiles, including analysis of VAR and stress drivers and communicate to management.
• Review new transaction requests, identify and assess risk issues including capital impact, understand risk systems and drive improvements, work on risk related projects and keep abreast of relevant market events and drivers.

Requires

• Experience in and knowledge of the relevant financial markets/products.
• Understanding of Greeks and risk management models such as stress testing and Value at Risk.
• Strong IT and systems skills with coding knowledge in Python, VBA, SQL or C++
• Postgraduate degree or equivalent in Maths, Financial Maths or related quantitative field

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