Description
Market Risk Manager
Skills: Market Risk Manager, Market Risk, VaR methodology and regulatory reporting requirements
My client seeks a Market Risk Manager to work within the market risk team. To be considered for this role you will have strong Market Risk understanding coupled with full knowledge of VaR methodologies and regulatory reporting requirements, You will possess further knowledge with Financial products such as FX, Rates, Equity, CDS and the relevant derivatives.
You must be able to work in Amsterdam for a period of 3-6 months.