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    Mis à jour le mardi 7 février 2012   

 
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Voir les 25 annonces d'emploi de SELBY-JENNINGS-LONDON


Associate level market risk manager needed for leading financial institution-London-£85,000-£90,000





Purpose:
Due to instability in many financial services companies in the market, a leading financial institution are looking for a very strong risk professional to advise and review current stress testing/regulatory risk and best practice risk assessments for banks, hedge funds and trading firms within the Elite Risk Division.

Personality:
The sort of personality we are looking for is somebody who is looking to get an industry wide and top down view on current economic capital and stress testing risk capabilities instead of one individual firm. This position would suit any risk professional who are suited to presenting to senior business heads, CRO's etc. on proposed risk strategy, weaknesses, areas for improvement etc. The environment is very dynamic and the nature of the work changes constantly – thus the risk specialist needs to adapt to different firms, different risk managers and different problems.

The role:
-To work in an intellectually stimulating environment, within a high-profile and highly-regarded team, that makes a significant contribution to the delivery of the firm's objectives.
-The opportunity to apply your technical abilities and good judgment to specific technical issues that frequently arises, and more generally to improve the way that firms organise and manage their market risk management and product control arrangements.
-An excellent opportunity to develop and hone highly-valued skills and broad-based experience in risk management and product control, or to use this role as a stepping-stone to a career in financial regulation.
-A good work-life balance that is not always available within the risk management industry.

Ideal Profile:
-Proven quantitative skills. In terms of specific areas of knowledge, you will need to demonstrate knowledge of linear algebra and probability and statistics.
-Proven practical and technical experience. You will have practical and technical industry experience gained in a financial services organisation or professional services firm from working in a trading, structuring, risk management, model validation or product control capacity.
-Strong verbal and written communication skills. You must be able to communicate, both verbally and in writing, technical issues succinctly and confidently to colleagues within the firm and to senior management in regulated firms.
-Confidence. You will have the confidence to deal with the senior management of regulated firms and lead meetings with leading firms.
-An in-depth understanding of bond maths and derivative valuation principles and methods.
-Coding skills, for example in MatLab or VBA.
-Experience of trading, risk or P&L system implementation.

All resumes 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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