Market Risk Manager

London  ‐ Onsite
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Keywords

Description

My client is a top-tier financial institution seeking a Market Risk Manager to join a successfully expanding team. As a Market Risk Manager, you will manage model risk.

You will be required to:

- Identify the sources of risk
- Assess the models used for Economic Capital, Stress Testing, Traded Risk, VaR and Counterparty Credit Risk
- Oversee the implementation of the Model Risk framework for Risk & Capital models
- Working with key stakeholders
- Liaising with the Rating Agencies, Regulators, and Quant Teams

A background in Mathematics, Physics, Engineering or Econometrics (MSc or higher) is required, as is a strong quantitative skill set with the ability to develop models.

If this is you and you would like to join a market leading institution, then please apply with your CV.
Start date
ASAP
From
Morpheus Group
Published at
13.09.2014
Project ID:
774662
Contract type
Freelance
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