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FX Market Risk Manager - 12 Months Contract

Job LocationLondon
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

An exciting opportunity to join theFI/FM Risk team of a Global Bank in London, who a looking for a maternity cover for up to 12 months. The teamare responsible for Market Risk, Counterparty Credit Risk, Product Control and IPV and the departments coreactivity is measuring and analysing the financial risks of the trading desks and banking books they manage as well as the day-to-day profit and loss generated by traders. This requires close liaison with front office traders.Detailed responsibilities and required experience below:

  • Delivery focused with strong analytical skills.
  • Responsible for accurate and timely reporting of the P&L and Risk for the desks assigned.
  • P&L reporting includes: confirmation of full trade coverage with reconciliation breaks appropriately managed; explanation of the P&L.
  • Risk reporting includes: Value at Risk reporting and validation of the computation through full trade coverage validations and market data checks; sensitivity reporting and limit checking.
  • Interacting regularly with front office traders to ensure that the market risks arising from day-to-day trading positions are fully understood and managed appropriately within the desks limit framework.
  • Developing a deep understanding of the products and markets covered by the trading desk.
  • Submitting and confirming reported results in the consolidated reporting platforms.
  • Monitoring market news and trends, proactively communicating key events to senior management
  • Pro-actively looking for risks / market developments / control issues that are not covered by standard reporting.
  • Support the business with ad-hoc requests from different stakeholders. Give guidance and advice on risk, regulatory and accounting issues.
  • Contributing to projects. The department participates in a wide number of regulatory and internal projects as we adapt to changing market dynamics and technology improvements.Project work is organized under an Agile Way of Working
Experience/Knowledge
  • 5 years or more relevant work experience in financial markets.
  • Solid understanding of the dynamics, valuation and market risk of FX Products, including FX Spot, FX Forwards, FX Swaps and FX Options (both Vanilla and Exotic).
  • Strong Product Control knowledge for these products (basic accounting, P&L calculation, price-testing, reserving, etc.). Market Risk Management knowledge (product valuation, risk metrics such as VaR, greeks, etc.).
  • Good understanding of FX markets dynamics, products and hedging strategies.
  • Highly competent with Microsoft Office programs, specifically Excel.
  • Experience working with Murex.
Applications will be accepted until 06/05/2022 and this will suit candidates who have the right to work in the UK

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