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|Salary||£55k to £75k|
|Sector||Credit & Risk Management|
We have been mandated by a Tier One Investment Bank in Canary Wharf on a Senior Market Risk Reporting vacancy. This position will focus on the Rates and Credit asset classes, and the successful candidate will be fast-tracked to managing two junior members of the team. This is an exceptionally rare opportunity in this employment field, and will be a great opportunity for Market Risk professionals in reporting/control/group functions to progress their careers.
The role holder will:
Ensure that accurate risk is reported against all limits set in the trader mandates.
Work with other team members globally to expand best practices.
Work closely with Market Risk Managers to provide analysis and support.
Implement additional risk reporting and analysis in conjunction with Market Risk Management requirements.
Ensure that production tasks are offshored where possible in line with strategy.
Improve efficiency and effectiveness of analysis to ensure that operational risk is minimized.
Provide commentary and analysis on Regulatory Capital Charge inputs, including Stress Test and PRA requests
Suitable candidates will come from a Market Risk function in another FS firm, and thus will have an excellent understanding of Market Risk metrics (VaR, IRC, Stress Tests etc). They will also be able to use Excel and VBA to manipulate data. Knowledge of the aforementioned asset classes is beneficial, but not essential.
All candidates must be eligible to work in the United Kingdom without sponsorship.
To apply, please email email@example.com.
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