As a Market Risk Manager covering the Rates Non-Linear business, you will ensure the effective risk management and oversight of one of the most successful and growing businesses within Global Rates .
Today, Risk Implementations handle multi-asset risk products, which include MARS Front Office Risk, Market Risk, Credit Risk, Counterparty Risk, Hedge accounting and Collateral management.
For Multi-Asset Risk System (MARS) and Portfolio Risk Analytics (PORT) products, we partner with Sales and Account Management throughout the sales process to guarantee the solution is a fit for our client's needs.
The Risk Implementation Team provides our clients outstanding service in scoping, deployment, and integration of our solutions within the framework of their existing businesses.
CMC Markets are hiring a Quantitative Risk Risk Manager!
We are looking for a skilled Financial Risk Manager who will be mandated with ensuring aspects of the Group's financial risks are correctly captured, reported and scrutinised in a timely and efficient manner.
This is a newly created role to support the Risk team in delivering the Options project, assist in setting the reporting and continued ongoing monitoring.
Conduct daily reconciliation and parallel running of system exposures and P&L for both physical and financial trading, comparing with independent calculations to verify correctness and completeness.
Identify and resolve system anomalies, and recommend solutions for enhancements and development of the ETRM system.
Oversee the migration, accuracy, and integrity of data into the company's ETRM system to ensure successful reporting.
The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market, operational, enterprise and liquidity risks and has the responsibility of continual development of methods for risk measurement, frameworks and creating a bank wide strong risk culture.
Posted by Hays Specialist Recruitment Limited • £80K/yr to £150K/yr
Key Responsibilities
Develop and manage the organization's Investment Risk Framework.
General
A dynamic and award-winning in-house investment team, which has recently obtained FCA approval and launched an exciting new collective fund range is seeking a Senior Investment Risk Manager.
In this role you will support investment strategies and objectives through comprehensive risk analysis, and engage in various investment functions within a collaborative team environment.
Join our client, a globally recognised and award-winning financial institution, as a Risk Specialist on an initial 6-month contract with the potential for extension.
As a Fortune 500 company with over 130 years of financial experience, our client is committed to providing innovative financial services and guidance to the world's most successful people, families, and institutions.