Posted By
Posted in
Banking & Finance
Job Code
178441
A Leading foreign bank is looking for candidates with 8+ years of experience in Market risk Reporting.
Production of Market risk reports
- Responsibility of timely delivery and accuracy of Market risk reports production process
- Provide adhoc analysis on concentration, Portfolio measures, tail analysis, scenario analysis
- Responsible for production process refinement and achieving efficiency form automations
- Responsibility for RWA forecasts and RWA production process.
- Responsible for methodology refinement
- Subject matter expertise on:
a) Market risk methodology
b) Capital Markets
c) Derivative products.
Skill sets required:
- 10-15 years' experience in banking industry with progressive growth preferably capital markets/Wealth management/Retail corporate.
- Proven experience in Market risk domain preferable in large Tier 1 banks
- Experience in building sustainable self-sufficient high caliber team with focus on Market risk reports and portfolio analysis
- Strong understanding of Risk, PnL and product knowledge of equities or FICC
- Excellent organizational skills and Ability to work with all levels including senior groups
- Building of teams from scratch
- Experienced in Offshore-Onsite model
- Degree in Business/Economics/Mathematics or equivalent
- Proven record of strong analytical skills
- Ability to structure complex tasks and projects
- Accurate working style
- Eager to learn with a flexible and open minded attitude
- Excellent command of business English
- Strong reliable team player with hands-on mentality
- Ability to work independently and adapt to new situations and a changing environment.
- Capability to question the status quo and constantly strive for process improvement
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Posted By
Posted in
Banking & Finance
Job Code
178441