VP Market Risk Manager- Exotic Equities- Tier One Investment Bank- London

Recruiter
GQR Global Markets
Location
Lambeth, UK
Salary
Competitive
Posted
16 Jul 2019
Closes
18 Jul 2019
Ref
1153128966
Job Role
Risk Manager
Contract Type
Permanent
Hours
Full-time
Level of qualification
Qualified
VP Market Risk Manager- Exotic Equities- Tier One Investment Bank- LondonDATE12 AugLOCATIONLondonCOMPENSATION£120,000.00KEY SKILLSDESCRIPTIONSALARY RANGE OR SPECIFIED NUMBER BONUSUp to 120,000£ on the base and a highly competitive bonus structureSUMMARYFollowing an expansion of the equities trading desks, a leading Tier One investment bank is looking for a highly skilled risk manager to join their successful exotics team. The ideal candidate will have previous experience in the equities space, with a particular focus on derivatives and exotics in the Emerging Markets. This group reports into the business, rather than into risk, and is viewed by senior management as critically important for sustained profits.JOB DESCRIPTIONThe role includes:
• Defining and calibrating limits for EM equities derivatives and options
• Monitoring and explaining all changes of the Greeks, VAR, stress testing and backtesting exceptions
• Discussing changes in trading strategies, as wells as any breaches
• Analysing and explanation of the P&LIdeal Candidate
• 5-8 years of experience in market risk, with a focus on equities
• In depth EM and derivitive products knowledge, cross-asset exposure a plus
• Confident and pragmatic, proven ability to face off against traders
• MSc in a hard science (mathematics, physics, engineering), PHD preferred
• Previous equities trading experience is considered highly valuable

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