A leading financial services company with a strong focus on development, support and flexibility.
About the Company
A leading financial services company with a strong focus on development, support and flexibility.
About the role:
Responsibilities include:
* Manage and analyze market risk across portfolios.
* Review VaR, P&L testing, and risk metrics.
* Approve model validations and limit exceptions.
* Monitor markets and assess risk impacts.
* Lead risk teams and collaborate with stakeholders.
* Ensure compliance and uphold ethical risk practices.
About the you:
You have:
* 15+ years market risk expertise.
* Strong analytical and technical skills.
* Knowledge of treasury, derivatives, and liquidity.
* Excellent communication and leadership.
* Skilled problem solver and project manager.
* Proficient in Excel, VBA, SQL.
* CFA or FRM certified.
Aboriginal and Torres Strait Islander Peoples are encouraged to apply.
To apply please click apply or call Davy Culliton on 02 8289 3172 for a confidential discussion.
Salary: AUD450 - AUD500 per annum + + Super
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