VP Market Risk Manager - Fixed Income

London, England, United Kingdom

A Global Top Tier Bank based in London is looking for a Fixed Income Market Risk Manager to join their team.

Responsibilities

  • Managing and coordinating several projects.
  • Provide expert advice on Market Risk and Var related regulatory. 
  • Provide Market Risk Management information to senior management.
  • Working on various scenarios of Stress Testing.
  • Interacting with Front Office.
  • Support change initiatives.
  • Work independently on assigned tasks and achieving objectives.
  • Act as escalation point for complex issues.

Key requirements

  • Previous experience in Market Risk Front Office position or relevant.
  • Previous experience in Fixed Income.
  • Knowledge of Rates and/or Credit products.
  • Good communication and interpersonal skills.
  • Understanding of Credit Risk Management.
  • Strong quantitative skills ( Market Data Analysis, VaR,derivative pricing).
  • Strong knowledge of VBA, Python, SQL or equivalent.
  • Knowledge of Basel/ FRTB, CCR. 

If this role is of interest to you, please apply or contact me for more details.

London, England, United Kingdom London England GB