Back to Job Search

Market Risk Manager

  • Location London, England
  • Reference BBBH93285


Responsibilities:

  • Daily market risk management for trading desks within the Fixed Income & Equity businesses.
  • Assist with limit setting and new product approval.
  • Assist in reviewing exposures as part of the Volcker rule.
  • Ensure the Front Office are kept up to date with new Methodologies and relevant Regulatory Content
  • Work with traders on a daily basis to understand market drivers

Skills Required:

  • Extensive experience within desk facing Market Risk Management Role
  • Experience working with Fixed Income and/or Equities
  • Excellent communication skills, written and verbal
  • Good understanding of Volcker and other relevant regulatory topics
  • Strong understanding of derivative products
  • Experience managing large sets of data (VBA preferred)