Market Risk Manager

Role Description

Interesting opportunity for technically gifted individuals with strong analytical knowledge of Derivatives to join a growing Market Risk team in Dublin

RESPONSIBILITIES:          

  • Strong analytical knowledge on various product types inclusive off Derivatives, Fixed Income & OTC.
  • Strong understanding on risk techniques and valuation methods:
  • Value At Risk -V.A.R
  • Stress Testing
  • Exposures
  • Greeks
  • Market & Funding Liquidity
  • Utilize existing defined procedures to resolve routine issues.
  • Assist on specifying new functionality for further operational improvements/efficiencies.
  • Reconcile risk analytics vs accounting and independent data. Investigate further where necessary.
  • Provide support & address client inquiries; demonstrate firm understanding of the product to end users (risk managers, traders etc.)
  • Develop and execute user acceptance tests U.A.T.
  • Assist in the on-boarding of new business wins.
  • Work co-operatively with other risk groups in different locations and time zones.
  • Other project-based tasks as assigned.


REQUIREMENTS:

  • Degree in Finance/Economics or related field.
  • FRM or CFA qualification an advantage.
  • Strong experience in Financial Risk Services/Investments.
  • Strong understanding of financial markets and risk management techniques.
  • Strong analytical ability and problem solving skills.
  • Highly motivated, multi-task capable and willingness to learn and develop within role.
  • Proven work experience with SQL query and Advanced Excel.
  • Bloomberg and/or Reuters knowledge

call Ben McShane on 500 5907 or send CV to ben.mcshane@careers-register.com

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