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Manager - Financial Markets Risk Job Description
Join a dynamic team as a Manager - Financial Markets Risk to lead the second-line oversight of financial markets risk across the Bank, ensuring robust risk management.
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Job Description
As a Manager - Financial Markets Risk, you will be responsible for:
* Providing second-line challenge and oversight of first-line risk identification, analysis, and risk management.
* Monitoring central bank, industry, and regulatory developments and assessing their impact on financial market risk practices.
* Preparing and presenting financial market risk insights to senior management, risk committees, and the Board.
* Supporting the development and maintenance of the financial market risk management framework, policies, and procedures.
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Required Skills and Qualifications
To succeed in this role, you will need:
* 8+ years of experience in financial market risk within a financial institution or regulator.
* Tertiary qualifications in a quantitative discipline (e.g., mathematics, statistics, finance, economics, actuarial science).
* Strong understanding of financial risk management governance, analytical techniques, and models.
* Excellent analytical, communication, and stakeholder engagement skills.
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Benefits
By joining our team, you can expect:
* A collaborative environment that supports your growth and wellbeing.
* Development and career opportunities in a dynamic and innovative organization.
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Others
We are an equal opportunity employer committed to diversity and inclusion. We welcome applicants from diverse backgrounds to join our team.
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