Tier 1 investment bank requires market risk manager for equities across equity cash and derivative products.
A leading tier 1 investment bank is looking for a market risk manager at the Vice President level to cover the equities desk. The initial and ongoing area of focus is envisaged to cover global risks related to equity cash and derivative products.
The individual will be expected to help in the development of monitoring tools and to take ownership and drive various projects that will enhance the risk management capabilities of the desk.
The successful candidate in this position will have the following background and skill set: -Previous experience and exposure to financial markets will be considered an advantage. Also trading floor facing roles would be helpful but not necessary for success in the role. -The role is within the fast moving, dynamic environment of the Equities trading floor and the individual will need to be confident and assertive in his dealings in what can sometimes be challenging circumstances. -Experience of working with equity derivative products along with an understanding of fund linked derivatives -Managerial experience would be a preferable but not necessary -Being a team player is important as most of the individual's time will be taken up working with a small close knit team of four people.
Please send all applications by mail.
Apply by email. Please do not modify the subject of the mail or your application will not be considered.
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