Our client an international bank, are seeking a Senior Market Risk Manager at their City of London office.You will be providing second line oversight of Treasury and Financial Market activities. You'll be responsible for developing robust control frameworks, analyzing daily market risk reports, and providing expert risk perspective on new product proposals.
Key Responsibilities:
- Act as primary contact for all Market Risk activities across the Bank
- Develop and maintain control frameworks for Treasury and market risk operations
- Lead improvements in market risk monitoring tools and reporting
- Contribute to portfolio reporting, forecasting and stress-testing exercises
- Mentor junior team members and deputise for the Head of Enterprise Risk
Requirements:
- Strong understanding of market risk and Treasury products
- Experience in financial services with knowledge of commercial banking products
- Proficiency with Excel; VBA and SQL skills advantageous
- Degree in a numerate subject
- Excellent analytical, communication and leadership skills