Market Risk Manager Role
We are seeking an experienced Market Risk Manager to join our dynamic team. The ideal candidate will have a strong understanding of derivative markets, including options, and proficiency with risk management tools and quantitative analysis.
The Market Risk Manager will be responsible for identifying, assessing, and managing market-related risks to safeguard the company's financial stability. This includes monitoring market conditions, ensuring regulatory compliance, and driving the risk management strategy of the company.
Key Responsibilities:
* Develop and implement risk frameworks to support consistent risk appetite across the company
* Assess financial impacts of market fluctuations and provide actionable recommendations
* Work closely with the Trading, Technology, and Operations teams to ensure a strong risk management framework and culture is in place
Requirements:
* Strong understanding of derivative markets, including options
* Proficiency with risk management tools and quantitative analysis
* Ability to assess financial impacts of market fluctuations and provide actionable recommendations
* Experience in developing and implementing risk frameworks to support consistent risk appetite across the company
Benefits:
* Competitive salary and benefits package
* Flexible working arrangements, including a hybrid model
* Opportunities for professional development and career progression
* A collaborative and dynamic work environment
About the Team:
You will be part of a talented team of professionals who are committed to innovation and excellence. Collaboration is key, and your insights will directly impact the company's risk management strategy and growth.