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A Global Financial Services business is looking for a Market Risk Manager - with strong Collateral / Liquidity Risk experience.
Skills / Experience Required:
Understanding of financial instruments and derivatives valuation and/or risk management techniques and must have implemented this
Have either Liquidity or collateral risk or strong Market Risk experience
Fixed Income experience - bonus
VaR or backtesting implementation.
Bonds and Repos markets exposure
Programming – will be 10-15% programming
Value at risk models implantations
Someone either from Front Office or Risk Management experience
Someone who can speak English as there will be presentations to the senior executive board members who are French and English
Salary: € Competitive + Bonus
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If you're interested in this opportunity, forward you're CV ASAP. Alternatively, if you would like to know more information or have a confidential discussion please contact Shanaz Rob - call on +44 (0)203 603 4474 or email@example.com for more details
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