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We are seeking a Market Risk Officer to join the Risk Management Department of a banking institution.
The successful candidate will be responsible for monitoring, analysing, and controlling market risk exposures, with a focus on interest rate risk in the banking book (IRRBB), treasury risk, and market risk limits monitoring.
This role involves performing risk analysis, stress testing, limit monitoring, data validation, and regulatory reporting, while working closely with Treasury, Front Office, Risk, Finance, and senior management stakeholders.
The ideal candidate should have strong knowledge of market risk management, treasury products, derivatives, and banking book risk metrics, with strong analytical and stakeholder management skills.
Job ID: 148778407
Skills:
Quantitative trading techniques, Volatility swaps, Emerging Markets currencies, FX Derivatives trading, Barrier derivatives
Skills:
Excel, Derivatives, corporate action processing, custody settlement, Cash Management, Powerpoint, Bloomberg Terminal, investment products, Fixed Income, Securities
Skills:
banking transaction matching workflows, Regulatory Reporting, securities processing, trade settlements, financial messaging standards, NAV valuation
Skills:
swift payments , Money Market, Funds, investment transactions, Bonds, confirmation, Equities, trade booking, Fx, Settlement, post-trade processing, Foreign Exchange, structured products, Derivatives
Skills:
Environmental risk management, Credit policy framework, Credit stress testing, Portfolio monitoring, ECL modelling, Quantitative techniques
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