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    Last Update : 24/05/2012   

 
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Director, Market risk–fixed income, London, Base Salary – £120,000 - £150,000 + bonus & additional benefits





A prestigious global investment bank are seeking a senior figure within their market risk fixed income team.
My client is seeking a senior level risk manager as a crucial hire before year end to drive the team's growth in Q1.
You will take on responsibility for developing the desks strategy and ensuring that the team's high performance continues.
Sat on the trading floor, the successful candidate will also be centre point for the banks increased focus on risk management, improving and developing the co-operation between risk and the front office.
You will be working alongside other senior managers from different business areas so a good all round understanding of the business is important.

The market risk manager will have the following responsibilities:
-Work with the Front Office, Credit, Finance, Valuation & Policy group, Quantitative Research, Model Review Group, Finance and Middle Office as lead contact for all risk management issues
-Responsibility for setting Market Risk Limits framework
-Take the lead in developing an increased synergy between front office and risk.
-Responsibility for defining best practice VaR and stress scenario methodology and analytics and fulfil a lead role in multi-year technology spend to upgrade market risk technology
-Highlight concentrated or concerning risk positions and work with Desk Heads and Business Head to ensure appropriate reporting, transparency and management
-Track current market environment against core risks to ensure P&L surprises are avoided

Please send all applications by mail.


Apply by email.
Please do not modify the subject of the mail or your application will not be considered.
 

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