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Financial Risk Manager

  • Location: Abu Dhabi
  • Salary: To £170,000
  • Job type: Permanent
  • Job reference: TS/169133
  • Sector: Banking, Banking, Banking, Commerce and Industry, Asset Management/Funds , Asset Management/funds , Asset Management/Funds , Commerce & Industry, Enterprise Risk
Job Description

A challenging role that will assess risk across a diverse investment portfolio of a high profile investment organisation.  They have a very diverse portfolio which will require the risk manager to measure, report and manage financial risks across interest rate, foreign exchange, equities, commodities and counterparty risk.  This will entail:

  • developing the methodology and tools to measure risk
  • provide guidance to stakeholders in analysing risk
  • build methodologies for the quantification of risks
  • provide reports to assist in investment decisions
  • communicate complex risk issues to a varied audience

Candidates should be graduates in a numerate discipline with in depth experience in a quantitative or risk solutions role, in either a financial institution, investment bank or private equity business.  A good understanding of financial risk methodologies and modelling including relating to derivatives is required.  Alongside excellent technical skills you will also be confident communicating to management and investors and presenting financial information in an informative way.  An excellent tax  free package is offered.

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