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Market Risk Manager - Treasury & ALM

Selby Jennings
Rugby, Vereinigtes Königreich
Gepostet vor 3 Tagen Hybrid Permanent Negotiable
A global bank are looking for a Market Risk Manager to develop and maintain their second line of defence across the treasury function.

Responsibilities of the individual:

  • Responsible for the management and facilitation of requirements between ALM and front office.
  • Identifying and implementing improvements to the risk management framework.
  • Reviewing the current risk portfolios and improving risk methodologies.
  • Preparation of market risk proposals for senior members of the business.

Requirements of the individual.

  • Deep understanding of Asset Liability Management, inclusive of Capital framework and IRRBB
  • Knowledge of economic value of equity and EBA / PRA guidelines.
  • Experience of managing structural FX Risk and associated regulatory framework.
  • Product knowledge across Interest Rate derivatives, FX derivatives, Bonds, money markets instruments like loans, deposits and repo.
  • Risk metrics knowledge across PV01, credit spread sensitivity, Inflation sensitivity, Value at Risk, basis risk, XVA adjustments. Interpretation and calculation.
  • Willing to be based in London
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Job ID  PR/363869
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