Credit Risk Manager - London, United Kingdom - eFinancialCareers
Description
Britannia Global Markets is a dynamic, fast-growing organisation that operates a full-service execution and clearing brokerage business covering Exchange Traded Derivatives, Cash Equities, Fixed Income, CFD's, Repo's and Foreign Exchange.
ROLE DESCRIPTION
Key Responsibilities:
-
Manage Credit & Market risk across multiple products including Futures, FX, Equities, Fixed Income & CFD:
Analysing Credit profile of new and existing clients:
Create and maintain Policy & Procedure documentation:
Approving trading and margin limits on various platforms:
Analysing real time risk across various products and locations:
Preparing and presenting MIS for senior management:
Developing stress testing and VAR calculations:
Assist in delivering requirements driven by Regulatory changes
Key skills and experience:
-
Attention to detail and accuracy essential:
Several years' work experience in Risk Management involving Credit Risk:
Strong communication and interpersonal skills essential:
Must be able to work well under pressure and work shift hours:
- Competitive - according to experience and qualifications
-**Full time. Permanent
- **START DATE
- ** ASAP
- **LOCATION
London, EC3
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