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Our Client is a top tier invesment bank who are seeking a number of Individuals to help grow out there Market Risk Function:
They are seeking professional with strong Market Risk Experiance, who is looking to take the next step in there carrer
Daily monitoring of Stress, Risk and (VaR) exposures Developing / implementing (RNIV) and Stress Testing Ensuring governance policies are being effectively applied Working closly with trading desks with respect to exposures, new business and market activity
Market Risk Manager with a focus on traded exotic products in the Rates and / or Hybrids asset classes Strong experience in markets-related roles with an emphasis on market risk management Strong understanding of market risk controls and governance frameworks Good knowledge of industry standard exotic Interest Rate (IR) / Foreign Exchange (FX) / Equities (EQ) derivative pricing models Knowledge of commonly traded exotic products including rationales, flows and risks Understanding of VaR and VaR methodologies Experience in defining, assessing and implementing limits Knowledge of economic / Regulatory capital Familiarity with current regulatory initiatives such as FRTB, Volker & stress testing
This is a great role offering great long term career growth opportunties within a firm that holds a global footprint and has the potential to reach Senior Managment Level In great Pace.