Market Risk Manager
Campion Pickworth · London, England, United Kingdom · On-site
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Our client is looking for a Market Risk Manager to join their expanding team in London. The Manager will have the opportunity to work on a variety of complex and high-profile projects, with some of the largest financial institutions globally, focusing on traded products and a wide stakeholder landscape across Front office, Risk, Model development and validation, Finance and Technology functions.
Key Responsibilities:
Participating in Risk engagements with a Market and/or Counterparty credit risk focus
Working effectively as a team member sharing responsibility, providing support, maintaining communication, and updating senior team members on progress
Assisting in preparing reports and schedules that will be delivered to clients and other parties
Qualifications and Experience Required:
Strong academic background including at least a 2.1 Bachelor's degree
Professional qualification e.g. CQF / CFA / FRM / PRM
Demonstrable, relevant experience in Financial Services
Experience in any of the following: VBA/ Java / C++/ SQL/ R / Matlab / .NET and reporting and project management tools (Tableau, MS Project etc.)
Good understanding of Derivative Pricing, Market and CVA methodologies
Good understanding of risk and controls, risk appetite, risk framework and policies, target operating model and governance, traded risk measurement and monitoring, internal model permissions, and regulatory interactions
Project management and report writing experience
Experience in stakeholder and client management
Please find further job openings from Campion Pickworth at https://campionpickworth.com/vacancies/