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Market Risk Manager

Employer
Barclay Simpson,
Location
London, United Kingdom
Salary
Competitive
Closing date
18 Dec 2020

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Job Description
An Investment Banking client are looking to hire a Market Risk Manager/ Project Controller to join them on a long term project.
6 month contract initially. Inside IR35. Competitive day rate on offer
Role and responsibilities
  • Review of transactions and portfolios (mainly interest rates) from an IBOR transition perspective
  • Coordinating with Front Office on transition-related risk issues and IBOR transition initiatives
  • Prioritising transactions / portfolios for fallback remediation
  • Communication of issues to senior stakeholders
  • Coordination with other functional areas (Legal / Operations / Technology / Other IBOR change team streams)
Key attributes:
  • In depth product knowledge covering rates linear and non-linear derivatives and cash products, structured or complex transactions
  • Ability to prioritise, analyse and solve problems, escalate appropriately
  • Ability to influence/lead FO approach to risk management / major change.
  • Delivery focussed


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