A new opportunity for a Market risk manager looking to develop their career within a dynamic front office environment. Our client are a financial markets and commodity supply chain group with an extensive European business and an increasing presence in France.
You will join a 40 person sales and trading floor, covering several asset classes but with a concentration on energy and power.
Your focus will be on both traded market risk and non-traded market risk responsibilities – ALM, liquidity management and funding.
Finally you will benefit from a competitive remuneration package, including performance bonus, participation, interessement and RTT.
Les responsabilités incluront :
- Working with trading, sales and structuring teams on the launch of new products and business activities, ensuring that they are aligned with the group risk framework and conform with group risk appetite
- Conducting detailed market risk analyses, ensuring that trading processes- P&L management, hedging, pricing, VaR/ VaR, model management, market notifications conform with the group risk framework
- Working with group risk on ALM policies, intra-group liquidity and regulatory reports
- Working with counterparts within 2nd line risk functions on regulatory frameworks.
Compétences requises
- 5 years experience within traded market risk management
- Experience of the commodities sector and hedging solutions is an advantage
- Personal skills – diplomacy, relationship focus, tenacity, intuition and an eye for detail. This is a busy, revenue generating structure and these qualities will be important
If you are interested in this role please contact Simon Bradbury – Simon.bradbury@rolyrecruitment.com