Senior Market Risk Manager Equities - London, United Kingdom - eFinancialCareers
Description
Company Summary:
A global investment bank are currently seeking a driven and motivated Market Risk Manager to work alongside the Trading desk to monitor and ensure their market risk appetite is maintained.
The Market Risk Manager will be responsible for:
- Analysing the firms exposure to risks across the equity business.
- Providing recommendations and approvals for new trades and trading types.
- Completion of VaR analysis and stress testing for timely reports.
- Working closely with the trading desk on strategy and limitations.
- Mentoring junior members of the team on daily activities.
- Communicating strategy across all areas of risk.
The Market Risk Manager should have the following skills:
- Proven track record in Market Risk management covering VaR and stress testing.
- Deep understanding of equity markets and derivative products.
- Excellent communication skills and experience of liaising with heads of trading.
- Experienced in working to short term deadlines in a high pressured environment.
- Willing to be based in London.
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