Market Risk Manager, £55,000 - £70,000 (London)

City of London  ‐ Onsite
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Keywords

Description

This large and successful global banking group are currently looking for an experienced Market Risk professional to provide an oversight role on key risks and controls to the Market Risk business unit. This unique role will expose the successful candidate to the Investment Banking arm of the division and will cover products such as Fixed Income, credit products, Commodities, Rates and more.

This exciting role will see the successful applicant be involved in the risk management, identification and reporting of the global business. With a role which is very much focused on the delivery side of things, there will be a high level of top line management interaction, which will provide the successful candidate the opportunity to create their own internal network.

This role will suit someone with a strong Market Risk background, who is looking to develop their risk, modelling and regulations knowledge as this opportunity will see you challenge senior figures within the banking Group by recognising key risks and recommending controls to minimise risk.

To apply, you will need to be a strong market risk manager / market risk analyst within wholesale markets / Capital Market / Invesmtent Banking and have direct market risk reporting / modelling experience. An Auditing / Risk & controls background (ACA/ACCA) would be beneficial

Keywords: AVP -Market Risk Management, Market Risk Audit, Senior Audior vacancy, London, VaR, ACA, FRM, Internal Audit, Market Risk, Model Review, Product Control, Banking Book, Traded Risk, ACCA
Start date
11/2015
From
Real Staffing
Published at
14.01.2015
Project ID:
834787
Contract type
Permanent
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