Market Risk Vp for Leading Investment Bank - London, United Kingdom - eFinancialCareers
Description
RESPONSIBILITIES
- Design and implementation of the firm's market risk framework
- Focus on derivatives trading including equities, rates and structured products as well as potential crossover into corporate banking and capital markets
- Ensure appropriate engagement of Market Risk in relevant compliance/control processes and initiatives, e.g. Volcker, Operational Risk, Internal Audits etc
- Proactive input into Management Information, including riskadjusted performance measures, to facilitate better business decisions and resource allocation
- Maintain oversight over the quality of risk information in reports produced by the reporting team
KNOWLEDGE AND EXPERIENCE
- Previous Market Risk experience with knowledge of Initial Margin, ValueatRisk and Stress testing methods
- Strong knowledge of market risks across equities and credit derivatives asset classes
- Understanding of valuation models relevant to the business
- Understanding/knowledge of MI tools (Business Objects, SQL server and Power BI)
- University degree in Mathematics, Finance, Economics or other similar
- Excellent problem solving and communication skills
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