Responsibilities: Monitor risk exposures and highlight key risks and P&L drivers, including market movements. Innovate methods to identify threats and weaknesses in the risk profile, proactively communicating these to the trading business and Market Risk management team. Conduct regular risk and scenario analyses on various risk themes and communicate findings. Develop an understanding of traded products and their key risks.
Skills: Currently on a voluntary career break for at least 2 years and interested in returning full-time to the Market Risk Coverage or Market Risk Capital team. Strong risk management skills with experience in Market Risk, Trading, Research, or other Markets/Risk roles. Team player and future leader with exceptional drive, creativity, and interpersonal skills. Proficiency in Excel is required. Lateral thinker, detail-oriented, and committed to achieving results. Ability to collaborate with diverse teams, including Trading and control groups. Strong quantitative academic background. We welcome applicants from all academic disciplines. Fluency in English with excellent written and verbal communication skills.
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