We are seeking a highly skilled Market Risk Manager to join our team as an AVP. This role involves measuring, monitoring, and analyzing market risk exposure, ensuring compliance, and contributing to the strategic risk management of the organization.
Roles/Responsibilities
- Collaborate with the trading desk to ascertain all relevant market risk factors in official risk systems.
- Analyze data from multiple sources to facilitate meaningful reporting.
- Work with senior risk managers to develop and maintain a market risk limits framework with applicable limits and triggers.
- Monitor compliance with market risk-related policies and oversee risk exposure measurement and limit monitoring processes.
Required skills
- 4-8 years of relevant experience in market risk management.
- Degree in a quantitative or financial discipline.
- Proficiency in quantitative skills, including mathematics involved in risk estimation and modeling.
Preferred skills
- Experience with MS Office applications (Excel, Word, PowerPoint) and SQL.
- Ability to work collaboratively with regional and global partners.
- Strong project management and organizational skills, capable of handling multiple projects simultaneously.
About our client
Our client is a prominent global financial institution that provides a wide range of services for corporate, institutional, and private clients. They are dedicated to maintaining the highest standards of compliance and risk management, offering an environment that encourages professional growth and collaboration. Join a team that values excellence, innovation, and making a significant impact in the financial industry.